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QNB3821-Senior Manager Treasury Operations Control (Qatarization

Job in Doha, Baladīyat ad Dawḩah, Qatar
Listing for: Qatar National Bank
Full Time position
Listed on 2026-08-16
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Financial Analyst, Financial Manager
Salary/Wage Range or Industry Benchmark: 250000 - 450000 QAR Yearly QAR 250000.00 450000.00 YEAR
Job Description & How to Apply Below
Position: QNB3821-Senior Manager Treasury Operations Control (Qatarization)

Job Purpose

Summary:

  • Manage Treasury Control workflow.

  • Ensure accuracy of real-time trading positions, P&L, and limits reporting to support risk control and profitability.

  • Ensure timely completion of management reports with appropriate analysis and justification.

  • Ensure accuracy of transaction flows to production systems.

  • Produce timely and accurate reporting.

  • Lead, train, and develop staff while promoting a teamwork-oriented environment.

Essential Duties & Responsibilities by Dimensions:
Shareholder & Financial
  • Provide operational support to Treasury management of assets and liabilities.

  • Supervise 5-6 employees analyzing approximately 40, transactions annually.

  • Control all Treasury Control Unit activities.

  • Act as backup for Treasury Operations Middle Office.

  • Implement KPIs and best practices.

  • Promote efficiency, productivity, and cost consciousness.

Customer (Internal & External)
  • Ensure capital market and investment positions comply with QNB investment strategy and QCB limits.

  • Support internal and external audit requirements.

  • Build strong relationships with related business units.

  • Assist customers and internal stakeholders with treasury-related requests.

  • Maintain agreed service levels with internal departments.

Internal Processes & Regulatory
  • Monitor treasury limits and standing instructions.

  • Prepare and maintain treasury statistics and audit requirements.

  • Monitor Islamic treasury transactions.

  • Investigate discrepancies with banks and financial institutions.

  • Reconcile trading positions and P&L balances with Front Office.

  • Ensure investment and capital market exceptions receive proper approvals.

  • Monitor trading balances, international shares, customer holdings, and investment portfolios.

  • Support international branches and subsidiaries.

  • Maintain OPICS setup, including counter parties, securities, rate re-fixings, settlement instructions, and settlement accounts.

  • Oversee repo agreements and compliance with EMIR and MRUD regulations.

Learning & Knowledge
  • Maintain strong knowledge of capital markets, investments, accounting treatments, liquidity management, and treasury products.

  • Understand treasury and back-office systems, processing routines, accounting rules, payments, and reporting.

Education/Experience Requirements:
  • Bachelor's degree in Banking, Finance, Accounting, Economics, Business Administration, Information Technology, or related field.

  • Master's degree preferred.

  • Minimum 8 years of relevant experience, preferably in an international bank, treasury operations, investments control, or related field.

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Position Requirements
10+ Years work experience
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