Description:
We’re looking for someone with hands-on experience in:
• Cash position & liquidity monitoring
• Cash-flow forecasting & variance analysis
• Treasury reporting and financial data consolidation
• Insurance policy administration, renewals & claims coordination
What we’re looking for:
• 3–5 years of relevant Treasury / Cash Management experience
• Strong Excel and analytical skills
• Experience preparing cash-flow forecasts and treasury reports
• Exposure to corporate insurance is an advantage
| Organization | Almana Group |
| Industry | Accounting / Finance / Audit Jobs |
| Occupational Category | Treasury AND Insurance Specialist |
| Job Location | Doha,Qatar |
| Shift Type | Morning |
| Job Type | Full Time |
| Gender | No Preference |
| Career Level | Experienced Professional |
| Experience | 3 Years |
| Posted at | 2026-09-06 3:01 pm |
| Expires on | 2026-12-05 |