Ready to take your treasury career global? Join one of the world’s most well-funded and influential energy companies, where you’ll get hands-on with complex treasury operations across multiple international entities. You’ll work in a dynamic, multicultural team, with real opportunities to grow your career long-term. On top of that, enjoy a tax-free salary and full relocation support to help you settle into life in Qatar. If you’re looking for your next big move — this is it.
Candidate Profile
- +10 years of experience in accounting and back office treasury operations, preferably within large multinational or complex corporate environments.
- Proven track record in back office functions of Treasury, including deal settlement, reconciliations, and accounting for treasury transactions.
- Must have experience using SAP.
- Strong understanding of internal control frameworks, risk management, and financial compliance practices.
- Previous experience in the oil & gas, energy, or industrial sectors is a plus.
Education & Professional Qualifications
- Bachelor’s degree in Finance, Accounting, Commerce, or Business Administration.
- Must hold a globally recognized professional accounting qualification such as:
- CPA (Certified Public Accountant)
- CA (Chartered Accountant)
- CMA (Cost & Management Accountant) or equivalent.
About the Role
We are currently partnering with a leading energy group in Qatar to recruit a Senior Accountant – Treasury Back Office, a critical role within their Treasury and Finance Division. This position offers a unique opportunity to join a large-scale, multi-entity organization operating in a complex and dynamic treasury environment.
The successful candidate will be responsible for overseeing the end-to-end Treasury Back Office operations, including accounting for financing transactions, settlement of treasury deals, and managing audit coordination. This is a highly visible role that supports group-level treasury activities and liaises closely with both internal and external auditors.
Key Responsibilities
- Manage the full scope of Treasury Back Office operations, including confirmation, accounting, settlement, and reconciliation of treasury financing and hedging transactions.
- Ensure accurate and timely reporting of Treasury-related financial transactions, including intercompany loans, FX deals, derivatives, and other financial instruments.
- Maintain compliance with audit requirements, acting as a key liaison for Internal Audit, External Audit, and State Audit Bureau for all matters related to treasury and back office.
- Review and improve internal controls and processes to enhance efficiency, accuracy, and compliance within the back-office function.
- Prepare monthly, quarterly, and annual reports related to treasury transactions and performance.
- Coordinate with Treasury Front Office, Corporate Finance, and Accounting teams to ensure seamless operations and alignment with business objectives.
- Contribute to system improvements and participate in finance digitalization initiatives, particularly in the area of SAP TRM and automation of reporting tools.
- Provide leadership, guidance, and coaching to junior staff involved in treasury and accounting activities.
Please apply today or reach out to me directly (phone and WhatsApp +66 65 580 7845 or email silvia.quirino@connexus-global.com) to know more about this opportunity.