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Diaa Hammad Mohamed  Aoud Alla, Group Senior Treasury Manager

Diaa Hammad Mohamed Aoud Alla

Group Senior Treasury Manager·Energya Cables Group (Jeddah Cables Co. - Energya Cable International Co. “UAE-Bahrain-Qatar”

Saudi Arabia

Bachelor's degree, Accounting Department, English Section

Work experience

Total years of experience: 25 years, 8 months

Group Senior Treasury Manager

October 2016 - Present

Energya Cables Group (Jeddah Cables Co. - Energya Cable International Co. “UAE-Bahrain-Qatar”

Jeddah, Saudi Arabia

I found this job using Bayt.com

October 2016 - Present

Responsibilities: -
 Creating and developing key relationships with Banks and Financing institutions and controlling the finance
facilities, including funded/non-funded facilities including (MTLs & STLs & LCs & LGs & … etc.), and ensuring
the entity is appropriately funded to achieve Co. goals.
 Develop and maintain a periodic review and implementation of adequate treasury policies and procedures
that clearly define control metrics and processes to protect the Company’s assets
 Devise strategies and support CFO and Divisional Finance team to implement the Group’s strategy to move
from a historical rest of the year cash flow forecasts to rolling 3 months forecasts and closely manage the
cash flows, collections, payments, funding process from and to local and international entities
 Monitor and manage the compliance with all credit agreements, various financial ratios, debt repayment
requirements, restrictive covenants, periodic reporting, and due dates.
 Develop robust foreign exchange and treasury management tool for underlying entities to ensure:
- Minimal exposure to adverse foreign exchange currency movements
- Minimal risk or the loss of any value in surplus funds
 Approving & supporting Trade finance products transactions (LCs & IDCs & EDCs and LGs)
 Conducting the requested analysis of all the Customer POs & projects to be financed and processing the
assignment of proceeds accordingly and supervising the monitor of delivery plan for each financed PO and
project along with the monthly AR report while ensuring that it is in line with outstanding loan
 Providing financial and analytical support including daily, weekly, monthly reporting on financial metrics
 Supervise and review of (Banks’ reconciliation & Banks’ tariff & Debit interest & Credit interest).
 Setting individual objectives and assess the performance of the Treasury Team along with Supervises the
day-to-day operations

Company industry:
Manufacturing
Job role:
Finance and Investment

Treasury Manager

April 2015 - September 2016

Qalaa Group - Arab Swiss Engineering Company "ASEC"

Cairo, Egypt

April 2015 - September 2016

Responsibilities: -
 Controlling and Improving finance facilities, including funded/non-funded facilities, LCs, Bank/Corporate Guarantees, etc., and ensuring the entity is appropriately funded to achieve its goals.
 Develop and maintain policies and procedures that clearly define control metrics and processes to protect the Company’s assets
 Responsibility for the ongoing compliance covenants (operational & financial) in relation to financing
 Make the cash flow’s report for three months and oversee and closely manage the cash flows, collections, payments, funding process from and to local and international entities
 Developing a robust foreign exchange and treasury management tool for underlying entities ensures minimal exposure to adverse foreign exchange currency movements and minimal risk or the loss of any value in surplus funds.
 Approving & supporting Import & Export LCs transactions, IDCs & EDCs and LGs.
 Providing financial and analytical support including daily, weekly, monthly reporting on financial metrics
 Supervise and review of (Banks’ reconciliation & Banks’ tariff & Debit interest & Credit interest).
 Setting individual objectives and assess the performance of the Treasury Team along with Supervises the day-to-day operations

Company industry:
Manufacturing
Job role:
Accounting and Auditing

Treasury Manager

August 2010 - March 2015

Schneider Electric Egypt

Cairo, Egypt

August 2010 - March 2015

 Responsibilities: -
 Maintain commercial banking relationships and partner with banks for Controlling and Improving finance facilities, including funded/non-funded facilities new products Standardize the internal policies and controls by establishing and monitoring department objectives.
 Rolling cash forecasts facilitate cash flow planning, decision making and to ensure proper control over receipts and disbursements.
 Supervise short term investment activity (Time deposits) and FX hedging operations.
 Approving & supporting Import & Export LCs transactions, IDCs & EDCs and LGs Support clearance Dep. in the form 4 issuance
 Supervise and review of (Banks’ reconciliation & Banks’ tariff & Debit interest & Credit interest & checks portfolio).
 Run reevaluation of the foreign accounts on monthly basis on the company system
 Providing financial and analytical support including daily, weekly, monthly reporting on financial metrics
 Setting individual objectives and assess the performance of the Treasury Team along with Supervises the day-to-day operations

Company industry:
Manufacturing
Job role:
Finance and Investment

Treasury Section Head

January 2005 - August 2010

Arab World For Investment (Lokma Group)

Cairo, Egypt

January 2005 - August 2010

Company industry:
Industrial Production
Job role:
Accounting and Auditing

Section Head & Chief Accountant Deputy

October 2000 - December 2004

El-Kharafy Group (Mak & E-Mak for Breaks System Factory)

Cairo, Egypt

October 2000 - December 2004

Company industry:
Industrial Production
Job role:
Accounting and Auditing

Education

Ain-Shams University

June 2000

June 2000

Bachelor's degree, Accounting Department, English Section

Egypt

GPA (percentage): 60%

GPA (percentage): 60%

Skills

Banking
Expert
Banking
Expert
Reconciliation
Expert
Reconciliation
Expert
Safe
Expert
Safe
Expert
Analysis
Expert
Analysis
Expert
Credit
Expert
Credit
Expert
Dac Easy ( Finance Software )
Expert
Dac Easy ( Finance Software )
Expert
Microsoft office applications (Word, Excel, Access, PowerPoint)
Expert
Microsoft office applications (Word, Excel, Access, PowerPoint)
Expert
Scala ( Finance Software )
Intermediate
Scala ( Finance Software )
Intermediate
SAP
Intermediate
SAP
Intermediate
Banking
Expert
Banking
Expert
Reconciliation
Expert
Reconciliation
Expert
Safe
Expert
Safe
Expert
Analysis
Expert
Analysis
Expert
Credit
Expert
Credit
Expert

Social profiles

Personal Website
Personal Website

URL removed due to policy violation. Please contact support for further information.

Languages

Arabic
Native Speaker
English
Expert
French
Beginner