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Group Treasury Manager/Head

MALAbu Dhabi, United Arab Emirates
Full-timeSenior
👁️ 0 views📝 0 applicationsPosted 8/23/2026Expires 9/25/2026
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Job Description

About the Role Mal is seeking a Group Treasury Manager/Head to join our pioneering Sharia-compliant neobank based in Dubai. As the world's first ethical digital bank, we are committed to delivering modern, AI-powered financial services that align with Islamic principles.

Our mission is to empower Muslims and underserved communities globally through innovative, halal banking products, investing, and financial wellness solutions.

As Group Treasury Manager/Head you will play a crucial leadership role in overseeing and optimizing Mal's treasury operations, liquidity management, and risk strategies.

You will help shape the future of ethical banking by ensuring the organization's financial resources are managed prudently and in strict accordance with Sharia guidelines, supporting business growth and operational excellence.

Key Responsibilities

Lead the end-to-end management of FX products, including spot, forwards, swaps and precious metals. Define pricing strategies, client segmentation models, and revenue optimization frameworks across markets.

Establish and maintain robust pricing governance, including FX margin matrices, after-hours pricing frameworks, and adherence to regulatory standards.

Design, implement, and manage group-wide treasury policies and processes in line with Sharia principles Oversee cash flow, liquidity, and funding requirements across all business units and jurisdictions Develop and monitor short- and long-term cash flow forecasts, optimizing working capital Manage banking relationships and support the negotiation of financing facilities Lead the identification and mitigation of financial risks, including currency, interest rate, and counterparty risks Ensure regulatory compliance with UAE Central Bank and international standards Collaborate with Finance, Product, and Technology teams to support new product launches and group initiatives Must-Have Qualifications: Proven experience in treasury management, financial risk, or corporate finance, ideall

Required Skills

treasury managementfinancial riskcorporate financeFX productspricing strategiesclient segmentationrevenue optimizationpricing governancecash flow managementliquidity managementfunding requirementscash flow forecastingbanking relationshipsfinancial risk mitigationregulatory compliance

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