Share this Job

Senior Financial Planning Analyst

Date: Mar 10, 2023

Location: Abu Dhabi, Abu Dhabi, AE

Company: Emirates Nuclear Energy Corporation

Job Purpose

To manage the financial market and operational risks of the treasury function to ensure that the optimum use of ENEC's (and any subsidiaries thereof) financial resources.

Activity:Management of Treasury Operations
•Prepare cash forecasting, plan the required funds, and ensure that periodic drawdown so that funds are available to meet the ENEC's liquidity.
•Invest excess cash in coordination with the corporate financial planning and financial control teams to ensure the accurate and efficient management of ENEC's liquidity.
•Execute foreign exchange and other hedging transactions to assist in improving ENEC's financial position.
•Maintain and build the necessary banking relationships and interface with counterparties.

Policies and Procedures
•Assist the Treasury Director and the Financial Risk Manager in the design, documentation implementation of treasury policies and procedures to ensure working protocols are adhered to.

Accounting and Reporting
•Ensure the accounting and reporting of all Treasury transactions are in compliance with the relevant International Financial Reporting Standards (IFRS).
•Prepare, review and amend the treasury reports to ensure the accurate completion.
•Manage the issuance and administration of all required documentation related to treasury operations to ensure an audit trail for all Treasury transactions.

Stakeholder Engagement
•Facilitate communication both internally and externally in order to build and nurture mutually beneficial working relationships

HSE, Security & Continuity of Operation
•All individuals take personal responsibility for safety; follow company HSE policies, procedures and instructions; avoid complacency and continuously challenge existing conditions and activities in order to identify discrepancies that might result in error or in appropriate action; report any situation that could present a hazard; not intentionally or recklessly interfere with or misuse anything provided at the workplace in the interest of health, safety, welfare or protection or management of the environment
•Follow all relevant Security policies, processes, procedures and instructions to ensure security compliance in all aspects of work, by applying them on self, others and Corporate assets.
•Ensure compliance with corporate requirements for adherence to policies, procedures and instructions related to Crisis Management and Business Continuity in order to continue mission-critical activities.

The incumbent is expected to perform standard activities as per attachments 4 & 5 in the Job Description procedure (relating to Health, Safety and Environment, Security and Business Continuity, People Management, Excellence and Quality Management



CFA, CA/CPA, ACT or equivalent

Bachelor degree in finance, accounting or business administration or closely related degree

Master degree in relevant discipline


1. 5 years relevant experience in treasury operations.
2. Experience in a corporation or with a financial institution.
3. Experience with and understanding of financial market instruments

Experience with and technical understanding of hedge accounting highly desirable