GF2006 - SENIOR OFFICER - TREASURY

  • Company
    Gulf Air Group
  • Division
    Finance
  • Location
    Bahrain - Head Quarter
  • Department
    Treasury
  • Closing Date
    04-Jun-2026
JOB PURPOSE

Ensure that the Company has access to funds it requires from Banks at the best rate and at lower cost.  Also to ensure that Gulf Air’s financial assets are soundly managed and adequately protected and idle funds minimized, negotiation and control of long and short-term debt.

KEY RESPONSIBILITIES
  • Procedures for the safeguarding and efficient use of Gulf Air’s financial resources, including authority limits, receipts, payments and cash flow planning and control.

  • Repatriating surplus cash from Sales Collections bank accounts.

  • Design, implement and maintain each cash management system in order to plan and monitor Gulf Air’s multi-currency cash balances.

  • Assist in planning and controlling use of the financial assets of Gulf Air according to the policies and procedures of the Company.

  • Obtain competitive line of credit be it Overdraft or Letters of Credit.

  • Meet the liabilities of the Company as they fall due, including long term and short-term loan repayment and aircraft leases expenses and meet the Headquarters payroll liability.

  • Review of multi-currency balances at different locations and supervisors and directs the sales and purchase deals to cover surplus/shortages.

  • Ensure that a healthy working relationship exists with Financial Institutions by supplying information and answering queries.

  • Assist in preparation of the annual Budget for the Company.

  • Assist the External Auditors and Internal Audit as required.

  • Exercise effective management of the section’s staff in terms of selecting, training, motivating, evaluating and discipline of sub-ordinates in appropriate liaison with personnel function.

  • Maintaining and controlling all test keys between GF and its banking correspondence.

  • Controlling & posting the daily Treasury required GL entries for payments, receipts, deposits, FX & outstation transfers.

  • Reconciling outstation/Treasury suspense & loan accounts every end of month.

EDUCATION / QUALIFICATIONS

Bachelor’s degree in Finance, accounting or equivalent.

EXPERIENCE
  • Minimum of 2 years of relevant experience

  • Some exposure in the Airline industry is desirable.

JOB SPECIFIC SKILLS & ATTRIBUTES
  • Fluent in written and spoken English and Arabic.

  • Computer Literacy

  • Familiar with Reuter/Telerate Information Services and financial markets.

About Application Process

If you meet the criteria and you are enthusiastic about the role, we would welcome your application. To complete the application you would need the following document(s):

  1. Resume/CV
  2. Passport-size photograph
  3. Passport Copy
  4. Qualifications