Senior Specialist (Treasury)
Raya Holding
Cairo
Workplace: OnsiteFull timeFunction: Finance & AccountingExperience: 3-5 yearsEducation: bachelorsSkills: ["Result orientation","Operational awareness","Building networks","Coaching & mentoring","Customer centricity","Analytical skills","Problem-solving skills","Communication skills","Prioritization"]Oversee daily cash management and liquidity forecasting, optimizing working capital components to improve cash flow efficiency. Manage banking relationships and credit facilities, monitor foreign exchange exposure and multi-currency transactions, and maintain treasury policies, procedures, and internal controls. Prepare cash flow forecasts, treasury reports, and financial analyses to support management decisions, while collaborating across Finance, Operations, and Supply Chain to drive process improvements and ensure compliance.

