# Treasury Accountant — Semasocial

Canonical: https://jobxdubai.com/jobs/li-4472478163-treasury-accountant
Location: Dubai, UAE
Type: full_time · Level: mid
Monthly salary: AED 7,000 to 10,000 per month (employer-stated) (UAE salaries are tax-free)
Posted: 2026-09-27
Apply: https://www.linkedin.com/jobs/view/treasury-accountant-at-semasocial-4472478163?_l=en

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Treasury Accountant

Posted:Sep 27

Company Details

Name:UAE Jobs

Rating: 4.5 (4 reviews) — log in to rate this company

Industry: Consulting

Website: https://applydubaijob.com

Description: applydubaijob.com is a trusted online job platform dedicated to helping job seekers find better career opportunities across Dubai, Abu Dhabi, Sharjah, Ajman, Ras Al Khaimah, the wider UAE, and other Middle East countries. The platform provides up-to-date job vacancies from various industries, making… applydubaijob.com is a trusted online job platform dedicated to helping job seekers find better career opportunities across Dubai, Abu Dhabi, Sharjah, Ajman, Ras Al Khaimah, the wider UAE, and other Middle East countries. The platform provides up-to-date job vacancies from various industries, making it easier for professionals to discover, apply, and grow their careers in the region. View more View less

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Job Details

Job Type: Full Time

Workplace Type: On-site

Qualification: Diploma

Job Experience: Mandatory

Job Location: Dubai, United Arab Emirates

Closing Date: Undisclosed

Salary: AED 7,000 - AED 10,000 / month

Other Pay: Benefits

Job Category: Accounting, Audit

Job Description

HOMAN Contracting is looking for a motivated and detail-oriented Treasury Accountant to join its Finance Team in Dubai. This position offers an excellent opportunity for finance professionals who want to build their expertise within an international contracting environment while working on treasury, banking, cash management, and overseas financial operations.

The successful candidate will play a key role in managing treasury activities, supporting financial reporting, maintaining banking relationships, and ensuring accurate cash flow management. This role also provides exposure to cross-functional collaboration and international business operations, making it an ideal opportunity for career growth.

Key Responsibilities

• Manage daily treasury operations, including cash management, payments, banking transactions, and liquidity monitoring.

• Prepare cash position reports, treasury schedules, and cash flow forecasts to support financial planning.

• Review bank transactions and perform reconciliations to ensure accurate financial records.

• Maintain treasury documentation while ensuring compliance with internal policies and controls.

• Process and monitor treasury-related ERP transactions efficiently.

• Coordinate with banks, suppliers, internal departments, and overseas teams to ensure smooth financial operations.

• Assist with monthly closing activities and financial reporting requirements.

• Monitor overseas financial operations and provide timely reports to management.

• Identify and resolve discrepancies related to banking, reconciliations, and cash management.

Requirements

• Bachelor’s degree in Accounting, Finance, or a related discipline.

• 2–4 years of relevant experience in treasury, finance, or accounting.

• Good working knowledge of Microsoft Excel and ERP systems.

• Strong understanding of banking processes, cash management, and reconciliations.

• Excellent analytical, organizational, and communication skills.

• High attention to detail with the ability to work under pressure.

• Strong knowledge of:

• Treasury and cash management processes.

• Banking operations and financial reconciliations.

• ERP systems and Microsoft Excel.

• CMA or IFRS principles (preferred).

• UAE or international financial operations (advantage).

146 open positions on Semasocial right now

• 4818 open positions in Dubai, United Arab Emirates

• 17 posted in the last 7 days

Contact Information

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## Requirements

Bachelor’s degree in Accounting, Finance, or a related discipline. 2–4 years of relevant experience in treasury, finance, or accounting. Good working knowledge of Microsoft Excel and ERP systems. Strong understanding of banking processes, cash management, and reconciliations. Excellent analytical, organizational, and communication skills. High attention to detail with the ability to work under pressure. Strong knowledge of: Treasury and cash management processes; Banking operations and financial reconciliations; ERP systems and Microsoft Excel. CMA or IFRS principles (preferred). UAE or international financial operations (advantage).

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