Full Time/Permanent

Manager Treasury

icon Pakistan, Islamabad

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Job Description

(total positions: 1, posted on: July 1, 2025)

Purpose of Job

Treasury & Cash Management

Job Responsibilities

  • Ensure the connectivity of SBP systems at primary and DR site (i.e. Controller & TMS/X) in coordination with SBP and internal IT teams.
  •  To coordinate with banks for opening of Money Market deals and prepare MRA.
  • To have close coordination with SBP for treasury functions and update the banks processes and systems accordingly.
  • To maintain the daily, weekly and monthly Reports of the Treasury Back office – Operations department.
  • Prepare and maintain SBP Blotter and coordinate with Treasury Front Office.
  • Update SBP account balances & RTGS inflows for the visibility of Treasury Front Office.
  • To authorize customer outflows and MM deals on Core banking and SBP systems.
  • To authorize the Customer’s RTGS transaction on SBP Controller.
  • Ensure that T Bills and PIB Maturity letters are sent to SBP on timely basis
  • Responsible for managing RTGS Final Position as per defined TATs. 
  • External and Internal Audit coordination
  • To assist the development team in SBP STP process.
  • Any other assigned tasks

Technical Competency

  • Proficient at using MS. Office, specially Ms. Excel

Soft Competency

  • Good Communication Skills
  • Time Management
  • Planning

Experience and Qualification

  • Minimum Bachelor's in Finance, Master's would be preferred.
  • At least 5 years of hands-on experience in finance/treasury operations.

Required Skills

Cash Flow Reporting,Treasury Management,Money Market Knowledge,Time Management ,MS Excel

Industry

Banking/Financial Services

CATEGORY

Operations

JOB TYPE

Full Time/Permanent

Minimum Education

Bachelors

Career Level

Experienced Professional

Minimum Experience

5 Years

Total Positions

1