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Analyst - Capital Markets (Treasury - Qatarization

Job in Doha, Baladīyat ad Dawḩah, Qatar
Listing for: Qatari Diar
Full Time position
Listed on 2026-07-31
Job specializations:
  • Finance & Banking
    Corporate Finance, Capital Markets, Financial Analyst, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 60000 QAR Yearly QAR 60000.00 YEAR
Job Description & How to Apply Below
Position: Analyst - Capital Markets (Treasury - Qatarization)

We are currently hiring for an exceptional Qatari with treasury background for the role of Analyst - Capital Markets.

The role will focus on evaluating project finance options (debt, equity, debt financing, managing global FX/ interest rate exposures, maintaining relationships with regional and international banking syndicates, and optimizing daily liquidity.

The Ideal candidate should be:

  • Qatari with 4+ years of experience in corporate treasury or capital markets.
  • A bachelor's degree holder in Finance, Economics, Accounting or Business Administration.
  • Certified CFA, CTP (preferred) with extensive Advanced Excel financial modeling skills and familiarity with TMS or ERPs.

Job Responsibilities:

Capital Markets and Corporate Financing:

  • Assisting in structuring and executing corporate financing transactions, including syndicated loans, Sukuk/ bond issuances, project level debt, and refinancing facilities.
  • Building and updating detailed financial models to evaluate capital structure options, cost of capital, debt service coverage ratios and leverage capacity across projects.
  • Help prepare credit pitch books, lender presentations, documentation for rating agencies, international banks and sovereign partners.

Treasury and Cash Operations:

  • Monitoring daily corporate cash positions, tracking global bank balances across subsidiaries, and preparing short to long term rolling cash flow forecasts.
  • Acting as an operational point of contact for local and international financial institutions for credit lines, escrow accounts, trade finance and account operations.
  • Analyzing FX interest rate risks and support the execution of derivative/ hedging strategies.

Reporting & Compliance:

  • Tracking loan covenants, reporting deadlines, and debt maturity profiles across all active development and asset portfolios.
  • Preparing regular treasury dashboards, capital market updates, yield analysis, and board level briefing notes on global macroeconomic trends.
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