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Treasurer

Job in Dubai, Dubai, UAE/Dubai
Listing for: Kayali
Full Time position
Listed on 2026-01-09
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager, Risk Manager/Analyst, Financial Analyst
Salary/Wage Range or Industry Benchmark: 200000 - 300000 AED Yearly AED 200000.00 300000.00 YEAR
Job Description & How to Apply Below

Who We Are

Fuelled by passion, KAYALI was founded in 2018 by beauty mogul and fragrance fanatic, Mona Kattan. Translating to ‘my imagination’ in Arabic, KAYALI provides a modern fragrance experience inspired by Mona’s rich Middle Eastern heritage and the art of layering scents to help you create your mood; where sharing scents is a ritual and smelling good is both an act of goodwill and self‑love.

Mona collaborates with some of the world’s most renowned perfumers and sources the finest ingredients to create unique juices that are infinitely memorable, long‑lasting, and cruelty‑free. Each luxurious fragrance is an ode to true craftsmanship and tells a special story, from the addictive notes to the multi‑faceted jewelled bottles.

Our Mission

To make everyone feel like the diamond they are! To build a global community of fragrance lovers through the power of scent and by providing them with the most innovative & luxurious fragrances, education and sharing our Middle Eastern fragrance rituals with the world.

Summary

The Treasurer will be responsible for overseeing Kayali’s global cash management, liquidity planning, and treasury operations. This role ensures the company maintains a strong liquidity position, optimizes banking structures, safeguards financial assets, and supports strategic financial decision‑making. The Treasurer will manage cash forecasting, banking relationships, treasury controls, and risk management, while supporting continuous improvement across the treasury function.

Essential Duties and Responsibilities Cash & Liquidity Management
  • Develop and maintain short, medium and long‑term cash flow forecasts across global entities.
  • Manage daily cash positioning to ensure adequate liquidity for operational and strategic requirements.
  • Optimize cash pooling structures and intercompany funding mechanisms.
  • Support FX exposure monitoring and hedging strategies to mitigate currency risks.
  • Oversee treasury transactions, including payments, transfers, and investments.
Treasury Operations & Controls
  • Maintain and enhance treasury policies, procedures, and internal controls.
  • Ensure compliance with banking regulations and internal governance requirements.
  • Manage bank account administration, including openings, closures, mandates, and user access.
  • Monitor bank fees and optimise treasury operational efficiency.
  • Prepare and submit payment proposals for signatory approvals in ERP and bank.
Banking & Stakeholder Management
  • Serve as the primary point of contact for global banking partners.
  • Support negotiations of banking services, credit facilities, and operational enhancements.
  • Collaborate with Finance, Accounting, Tax, and Legal teams to support cash‑related aspects of business transactions.
  • Partner with FP&A to align liquidity planning with Budget and Forecast cycles.
Treasury Strategy & Risk Management
  • Monitor macroeconomic, interest rate, and FX trends to advise leadership on treasury risks and opportunities.
  • Support development of capital structure strategies, including debt planning and working capital optimisation.
  • Evaluate treasury technology enhancements and support ERP treasury module configuration.
  • Contribute to continuous improvement initiatives across cash management, forecasting accuracy, and treasury analytics.
Qualifications
  • Bachelor’s degree in Finance, Accounting, Economics, or related field; professional certifications (ACT, CFA, CPA, ACCA) are a plus.
  • 3–5 years of treasury experience, preferably within a multinational or fast‑paced environment.
  • Strong understanding of cash management, liquidity planning, FX, and treasury controls.
  • Experience with ERP systems (MS Dynamics preferred) and treasury management tools.
  • Excellent analytical skills with a high attention to detail.
  • Strong communication abilities and a collaborative working style.
Key Competencies
  • Cash & Liquidity Management Expertise
  • Analytical & Problem‑Solving Skills
  • Risk Awareness & Control Orientation
  • Stakeholder & Bank Relationship Management
  • Continuous Improvement & Proactiveness
Benefits
  • Premium Medical/Dental/Vision coverage
  • Find Your Magic Days
  • Volunteer Day
  • Professional Development Days
  • Birthday leave
  • Employee discounts Kayali products
  • Product gifting
  • Egg Freezing Benefits

Kayali is committed to building diverse and inclusive teams and upholding an equal employment workplace that is free from discrimination. We hire stellar individuals regardless of their race, color, ancestry, religion, gender identity, national origin, sexual orientation, age, marital status, medical conditions, disability, or veteran status. If you need reasonable accommodations at any point in the application or interview process, please let us know.

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