RBU, based in Dubai Internet City, is looking for a Treasury professional to lead and oversee treasury activities for our UK and USA branches. In this role, you will be instrumental in ensuring prudent liquidity and funding management, effective balance sheet oversight, and alignment with regulatory and Group frameworks to support sustainable growth.
What You'll Do
- Support development and execution of Treasury strategy across the UK and USA, aligning with Group funding, liquidity, and balance sheet objectives.
- Ensure sustainable liquidity resilience through effective oversight of regulatory and internal liquidity metrics.
- Support delivery of stable and diversified funding capabilities via disciplined execution of approved strategies and market engagement.
- Support effective management of structural balance sheet and interest rate risk exposures in line with approved risk appetite.
- Ensure strong Treasury governance through active participation in management and governance committees.
- Maintain effective engagement with external stakeholders including regulators, financial institutions, and market counterparties.
- Support continuous enhancement of Treasury infrastructure, systems, data, and reporting capabilities in partnership with Technology, Risk, and Finance.
- Maintain strong alignment with Group Treasury and Treasury & Global Markets functions to support integrated balance sheet management.
What We're Looking For
- Bachelor's degree, preferably with a specialization in finance.
- 10-12 years of significant experience in treasury operations.
- Knowledge of market risk analysis and fundamental economic data.
- Meticulous, time-bound, and able to attend to multiple tasks in a time-bound manner.




