Organization: Taj Gasoline Pvt Ltd
Position Title: Treasury Executive
Job Location: Karachi, Pakistan
Job Details
| Field |
Details |
| Job Location |
Karachi |
| Employment Type |
Full-Time |
| Date Posted |
January 13, 2026 |
| Valid Through |
January 27, 2026 |
| Work Hours |
9:00 AM – 6:00 PM |
| Industry |
Oil & Gas / Energy |
About Company:
Taj Gasoline Pvt Ltd is a prominent energy company in Pakistan, specializing in fuel distribution and petroleum services. The organization is recognized for operational excellence, financial integrity, and providing career growth opportunities in finance and treasury operations.
Position Overview
Taj Gasoline Pvt Ltd is seeking a qualified Treasury Executive to manage cash flows, bank operations, trade finance, and liquidity management. The role involves overseeing daily cash positioning, handling trade banking activities, and liaising with banks to ensure smooth financial operations.
This position is critical for maintaining liquidity, managing financing arrangements, and ensuring operational efficiency in treasury functions.
Job Overview:
The Treasury Executive will:
-
Manage bank and cash flow positions to ensure adequate liquidity and smooth operations
-
Oversee funds management, including daily cash positioning and utilization
-
Handle trade banking activities, including LCs, bank guarantees, and trade finance documentation
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Manage financing arrangements with banks, including working capital and credit facilities
-
Support digital banking arrangements for payments and collections
-
Monitor and record banking transactions
-
Liaise with banks to maintain effective relationships and operational efficiency
Eligibility Criteria & Requirements:
Education:
Master’s degree in Finance
Experience:
2–4 years of relevant experience in treasury or finance operations
Skills:
Cash and liquidity management
Trade finance and banking operations
Financial analysis and reporting
Bank liaison and relationship management
Proficiency in banking software and MS Office
Qualifications:
Experience handling LCs, bank guarantees, and working capital arrangements
Ability to manage daily cash positioning and fund utilization
Knowledge of trade finance documentation and compliance
Strong analytical, organizational, and problem-solving skills
Responsibilities:
Manage bank and cash flow positions to ensure liquidity
Oversee daily funds management and utilization
Handle trade banking activities and documentation
Manage financing arrangements with banks
Support digital banking payments and collections
Record and monitor banking transactions accurately
Maintain effective relationships with banks and financial institutions
Benefits & Compensation:
Competitive salary with performance incentives
Professional and structured corporate work environment
Career growth opportunities in treasury and finance
Exposure to banking operations and energy sector finance
How to Apply:
📧 Send your application to: career@tajgasoline.com
📝 Subject Line: Mention the position applied for
📅 Application Deadline: 27th January 2026
Additional Details:
This role requires strong treasury and finance expertise, banking knowledge, and operational efficiency in cash and fund management.