Emplois pour treasury dans Algiers
6 offres d'emploi treasury en Algérie. Offres mises à jour quotidiennement.
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Senior Treasury Risk Analyst Premium
Il y a 1 semaine
Algiers, Algiers, Algérie Power International Holding Temps pleinJob Summary The Senior Treasury Risk Analyst will be responsible for assessing, analyzing, and mitigating potential risks that could impact the organization’s operations and financial performance. The role involves identifying, evaluating, and managing both financial and operational risks to ensure effective risk management strategies and compliance with...
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TRM consultant
Il y a 4 jours
Algiers, Algiers, 16, Algérie VASTGREEN LIMITED Temps pleinIn this position you will be responsible for providing insights to clients. To do so, you will first meet with our clients to uncover their business needs and challenges. Then, you will use your strong analytical skills to perform quantitative and observational data analyses. From these analyses, you will form and present your recommendations to our...
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Chief, Market Risk Premium
Il y a 2 semaines
Algiers, Algiers, Algérie New Development Bank (NDB) Temps pleinClosing on: September 18, 2026 at 11:59pm (China Standard Time) Duty Station: Shanghai, China Target Market: Global recruitment Position requires relocation to NDB Headquarters in Shanghai, China. Job Description: Chief, Market Risk Reporting to the Director General, Risk Management, this position will be responsible for leading liquidity and market risk...
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Intégrateur ERP Premium
Il y a 2 semaines
Bab Ezzouar, Algiers Province, Algérie Interpath Advisory Temps pleinDescriptionL’équipe TMS fait partie du pôle Value Creation de notre cabinet de conseil Interpath Algerie. Nous recherchons un profil intégrateur ERP (Spécialisé en module financier).Ce pôle est dédié à la création de valeur pour nos clients à travers l’optimisation de leurs processus sociaux, managériaux et financiers.Les TMS (Treasury...
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Treasury supervisor Premium
Il y a 4 semaines
Algiers, Algiers, Algérie Hikma Pharmaceuticals Temps pleinMain Responsibilities: Treasury & Cash Management: Monitor daily cash positions and ensure optimal liquidity. Prepare ongoing financing reports, including limits and utilization levels. Ensure timely execution of payments and fund transfers through the TMS. Prepare quarterly cash flow forecasts. Supervise and monitor banking contracts and...