Head Cashier - Healthcare Experienced

Fakeeh University Hospitalالإمارات العربية المتحدة - Dubaiنُشرت في ٠٨ أكتوبر ٢٠٢٦
LinkedInصاحب عمل مباشرمؤسسة كبرى
الموقع
الإمارات العربية المتحدة - Dubai
نوع العمل
من المقر
الخبرة
5-7 سنوات
الراتب
AED 5k–8k/شهريًا (تقديري)
قدّم عبر LinkedIn

وصف الوظيفة

JOB PURPOSE: To oversee cash flow, liquidity, and treasury operations. Ensure optimal cash management, accurate forecasting, and compliance with financial policies and regulations. KEY RESPONSIBILITIES AND DUTIES: - Develop and implement effective cash management strategies to optimize liquidity and ensure sufficient funds are available for operational requirements. - Monitor daily cash positions, prepare short- and medium-term cash flow forecasts, and provide regular cash management reports to senior management. - Manage and maintain effective relationships with banks and financial institutions, including negotiating banking fees, services, facilities, and other financial arrangements. - Oversee and ensure the timely and accurate execution of electronic payments, bank transfers, wire transfers, and other cash transactions in accordance with approved policies and authorization limits. - Ensure compliance with internal controls, finance policies, treasury procedures, and applicable regulatory and statutory requirements. - Monitor and continuously improve cash management processes, controls, systems, and reporting mechanisms to enhance efficiency and accuracy. - Coordinate with Accounting, Finance, Accounts Payable, Accounts Receivable, and other relevant departments to reconcile cash and bank accounts and resolve discrepancies promptly. - Monitor short-term investments, deposits, and borrowing activities, where applicable, to optimize returns and minimize financing costs while maintaining appropriate liquidity. - Prepare and present cash flow forecasts, cash position reports, variance analysis, treasury reports, and other relevant financial information to senior management. - Identify potential cash flow risks and recommend appropriate mitigation measures to ensure business continuity and financial stability. - Maintain accurate documentation and records related to banking transactions, cash management, investments, and treasury activities. - Support internal and external audits by providing required financial records, reconciliations, and supporting documentation. - Perform any other duties and responsibilities assigned by the reporting manager within the scope of the role. QUALIFICATIONS, EXPERIENCE & SKILLS: - Bachelor’s degree in Finance, Accounting, Commerce, Business Administration - Masters Degree / ACCA/ CMA or equivalent is preferred. - 5–7 years of relevant experience in Cash Management, Treasury, Banking, or Finance, preferably within a healthcare or large corporate environment. - Strong knowledge of cash flow forecasting, liquidity management, bank reconciliation, payment processing, and treasury operations. - Proficiency in MS Office, particularly Excel, and experience with ERP/financial systems such as SAP. - Strong analytical, numerical, organizational, and problem-solving skills with high attention to detail. - Excellent communication and interpersonal skills with the ability to work effectively across departments. - High level of integrity, confidentiality, accountability, and professionalism, with sound knowledge of financial controls and compliance requirements.

المهارات

SAPCash ManagementTreasuryBank ReconciliationFinancial Controls

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