Job Overview
Qatar Airways is seeking an experienced Manager Treasury to oversee and optimize treasury systems, processes, and infrastructure. The role focuses on treasury compliance, financial risk management, liquidity planning, financing activities, and continuous process improvement while working closely with finance, IT, and business stakeholders.
Key Responsibilities
Strategic Responsibilities
- Contribute to strategic planning to support sustainable business profitability
- Coordinate financial risk assessments and ensure mitigation actions are embedded
- Partner with treasury managers on strategic planning and budgeting
- Drive continuous process improvement using leading industry practices
Operational Responsibilities
- Assess financial risks and recommend mitigation strategies
- Implement risk management policies to limit financial exposure
- Document and communicate treasury processes and procedures
- Provide market analysis and financial insights to senior management
- Analyze fleet plans, asset valuations, lease and financing portfolios
- Support cost-effective financing for fleet and capital projects
- Manage financing transactions including structuring, negotiation, documentation, and closing
- Ensure proper audit controls and manage month-end and year-end financial closing
- Track project milestones, benefits, and performance targets
- Lead process design and improvement initiatives
- Develop roadmaps to address process gaps and improve efficiency
- Generate ad-hoc financial and treasury reports
- Maintain data integrity across treasury systems
- Support optimized banking structures and liquidity operations
- Manage bank mandates, access controls, and online banking portals
- Ensure user access, training, and audit trail compliance
- Perform additional duties as assigned by the Head of Department
Qualifications & Experience
Demonstrated success in business improvement and change management initiatives
Bachelorβs Degree or equivalent
Minimum 8 years of relevant job-related experience
Qualified Accountant and/or AMCT, MCT, CFA certification or equivalent
Proven experience managing teams within corporate treasury or finance
Strong background in financial risk management and treasury operations
Experience in banking, liquidity management, cash flow forecasting, and payments
Expertise in treasury systems, hedging, financing, and payment activities