Corporate Treasury
Corporate Treasury is responsible for managing the entire Emirates Group cash flow and ensuring adequate funding of its projected growth. Hence, the team focuses on:
Financing, comprising all aircraft and project financing, capital raising & bond issues;
Cash Flow monitoring and forecasting;
Investment of all surplus funds;
Risk Management, notably interest rate and currency hedging and the management of the Group’s Balance Sheet and capital structure;
Taxation, minimizing the direct and indirect tax liabilities of the Group worldwide, advising on optimal tax and corporate structures for Group companies and liaison with UAE and external Governments with respect to tax and repatriation matters;
Banking, with responsibility for all cash repatriations from outstations, bank accounts and mandates, together with the proper registration of all Group companies worldwide.
We have a relatively small team that is highly motivated and which has a high profile, internally and externally, having won several industry awards. All team members are professionally qualified, high calibre individuals working within a strong team ethic.