Treasury Analyst – Money Market
Sidra Capital
Job description
About the role
Sidra Capital is seeking a detail‑oriented Treasury Analyst focused on money‑market activities. The role will support liquidity management, execute short‑term investments, and ensure compliance with Shariah principles.
Key responsibilities
- Monitor daily cash positions and maintain sufficient liquidity for operations.
- Prepare short‑ and medium‑term cash‑flow forecasts to aid financial planning.
- Execute cash movements, payments, and internal settlements accurately and on time.
- Manage surplus liquidity through short‑term investments such as Murabaha deposits, time deposits, and money‑market funds.
- Obtain competitive rates from banks, track maturities, and roll over or reinvest funds as needed.
- Maintain records of all transactions and produce performance and portfolio reports.
- Develop relationships with banking partners, handle account administration, signatory updates, and KYC documentation.
- Perform weekly and monthly bank reconciliations and support budgeting, forecasting, and audit processes.
Required profile
- Bachelor’s degree in Finance, Accounting, Economics, Business Administration or a related field.
- 2–3 years of experience in treasury, cash management, or money‑market operations.
- CME Level 4 certification is required; CTP or CFA designation is preferred.
Required skills
- Money market funds
- Budgeting and forecasting
- Time deposits
- Cash management
- Shariah compliance
- Murabaha deposits
- Bank reconciliation
- Money market transactions
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Published 1 month ago
Expires 4 days from now
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Sidra Capital