Executive Director - Corporate Treasury - Financial Accounting Advisory Services in Dubayy [Dubai], United Arab Emirates

at Ernst & Young

Client Services
Accounting / Audit / Tax
Minimum Qualification
Bachelor's Degree
Required Experience
3 - 5 years
Employment Type
Full Time
Male or Female
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Job Description

Your responsibilities as a Corporate Treasury Executive Director will include the following:
  • Demonstrates expertise with advising and developing integrated solutions for treasury and finance functions at financial institutions or multinational corporations
  • Contribution to the development and debate surrounding IFRS (for financial instruments) and other accounting developments, focusing on the practical impact on clients;
  • Assist clients through the provision of advice, the delivery of implementation projects, investigation and resolution of hedge accounting issues;
  • Conduct analyses on accounting policies in financial statements to support due diligence teams, tax restructuring transactions;
  • Work with a variety of clients, providing practical solutions for complex accounting problems;
  • Work with the financial reporting teams of our clients to help deliver financial information and to improve reporting processes;
  • Research technical issues and lead the production of briefing papers for clients and our own staff;
  • Provide technical advice to ad-hoc queries from clients and internal teams.
  • Provide broader corporate treasury advisory services (e.g. cash management, funding etc.) to clients.

People responsibilities 
  • Develop people through effectively supervising, coaching and mentoring all levels of staff
  • Conduct performance reviews and contribute to performance feedback for all levels of staff
  • Drive people initiatives, including recruiting, retaining and training assurance professionals
  • Contribute to the maintenance of an educational program to continually develop personal skills for all levels of staff
  • Understand and follow workplace policies and procedures and communicate these to all levels of staff


Desired Skills and Experience Qualification 
  • Treasury management strategy, processes and technology solutions;
  • Global cash and liquidity management, financial management, corporate finance and financial risk management
  • Hedge Accounting (both portfolio and micro hedging)
  • Commodity hedging (metals, energy and softs)
  • Treasury Risk Management (including strategy, policy, procedures and controls), Cash Pooling, Funding Advisory
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