Careers –

Financial Analyst Treasury





What would you be doing

  • Cash flow Planning (Forecasting)
  • Cash flow Management (day to day operations, placements, borrowings)
  • Monitoring (Variances) & suggesting corrective measures
  • Plan & manage remittance inflows & outflows
  • Setting up/integration of payment & other online fund aggregation solutions with Ecommerce platform and its monitoring & management
  • Regulatory compliance (with SECP, SBP etc.)
  • Financial Reporting (good understanding of IFRS will be an added advantage)

What is required 

  • Bachelors/Masters degree in Finance or member/finalist of ICMAP/ACCA/ICAP

  • At least 2-3 years in Treasury planning or Financial Analysis


    Must be able to research for upcoming/innovative technological solutions to automate and improve the existing business processes
  • Strong knowledge of Banking i.e. banking products, operations, credits, lending, remittances, approval processes etc
  • Strong analytical skills

You would like to know 

We are an equal opportunity employer. To us, you matter!