Treasury Management Services

Treasury Management Services in Dubai
Optimizing Your Financial Resource Efficiency

Treasury management is critical for the strategic oversight of a company’s cash flow, funding, and financial operations.

At MBB Auditing, we provide comprehensive solutions to navigate the complexities of financial resource management.

Our expert team ensures your business runs smoothly by handling cash management and treasury operations with precision and efficiency. Focus on growing your business while MBB Auditing manages your financial resources with professionalism and care.

What is Treasury Management Services?

Treasury management is a structured approach to overseeing a company’s financial assets and liabilities, ensuring sufficient liquidity while mitigating financial risks. It encompasses the management of cash, investments, and day-to-day financial transactions, making it a cornerstone of effective business operations.

While it may seem straightforward, managing a company’s finances is one of the most complex tasks, requiring the right expertise, tools, and strategic vision.

MBB Auditing provides robust treasury management solutions, helping businesses navigate increasing financial complexity as they grow.

internal audit

What Our Treasury Management Services Cover

We deliver comprehensive treasury management services tailored to the needs of startups and SMEs operating in the UAE. Our treasury management solutions are designed to ensure regulatory compliance, enhance financial transparency, and support informed business decision-making.

Cash and Liquidity Planning and Management

Ensuring sufficient cash availability through forecasting, monitoring, and optimization of cash flows.

Banking and Financial Institution Relationship Management

Managing bank relationships, facilities, mandates, and negotiations to support efficient financial operations.

Capital Structure Optimization and Funding Advisory

Advising on the optimal mix of equity and debt to support growth while controlling financing costs.

Investment and Surplus Cash Management

Managing excess cash through prudent investment strategies that balance return, liquidity, and risk.

Financial Risk Identification and Mitigation

Identifying and managing risks such as foreign exchange, interest rate, and liquidity exposure.

Treasury Technology and Systems Advisory

Supporting the selection, implementation, and optimization of treasury management systems.

Regulatory Compliance and Treasury Reporting

Ensuring compliance with accounting standards and regulatory requirements through accurate reporting.

Payment Processing, Controls, and Reconciliation

Establishing secure payment processes, controls, and reconciliations to minimize errors and fraud.

Benefits of Outsourcing Treasury Management Services to MBB Auditing

MBB Auditing helps you identify value opportunities and implement tailored solutions aligned with your organisation’s objectives, delivering benefits such as:

Clear Visibility & Control of Cash

Improved Liquidity Management

Regulatory & Accounting Compliance

Efficient Treasury Processes

Strong Governance & Controls

Effective Financial Risk Management

Why Choose MBB Auditing for Treasury Management Services

We provide centralized cash visibility, liquidity planning, and banking oversight to ensure efficient fund management across all operations.

Treasury manages daily cash, liquidity, and risk, while corporate finance focuses on long-term funding and strategic decisions.

We identify excess cash through forecasting and advise on secure, liquid investment strategies to optimize returns.

It ensures strong controls, accurate reporting, and compliance with regulatory and accounting requirements.

Our Treasury Management Services Process?

At MBB Auditing, we assess your organization’s operations to ensure that your goals and objectives are achieved efficiently, using all available resources within legal, and economic, boundaries. 

Cash Positioning

Monitoring daily cash balances across all bank accounts to maintain clear visibility of available liquidity.

Cash Forecasting

Analyzing expected cash inflows and outflows to anticipate funding requirements and investment

Working Capital Management

Optimizing receivables, payables, and inventory cycles to improve cash flow efficiency.

Liquidity Management

Ensuring sufficient liquidity to meet short-term obligations without reliance on unnecessary borrowing.

Financial Risk Management

Identifying and mitigating exposure to currency, interest rate, and credit risks through structured risk strategies.

Debt and Investment Management

Advising on borrowing and investment decisions to balance cost efficiency, returns, and financial stability.

Bank Relationship Management

Managing banking relationships, facilities, and fee structures to support smooth financial operations.

Reporting and Compliance

Preparing treasury reports and ensuring compliance with regulatory, accounting, requirements.

Your Treasury Management Questions, Answered

Treasury management identifies and mitigates financial risks such as foreign exchange, interest rate, credit, and liquidity risks to protect cash flows and financial stability.

It improves cash flows through accurate forecasting, efficient receivables and payables management, centralized liquidity structures, and prudent surplus cash investment.

Key challenges include liquidity volatility, financial risk exposure, forecasting accuracy, regulatory compliance, and safeguarding financial systems and data.

Our services include cash and liquidity management, risk management, payment controls, investment advisory, funding support, and regulatory compliance.

It includes cash flow optimization, liquidity planning, risk management, funding oversight, banking coordination, and investment of surplus funds.

Strengthening financial control, liquidity, and risk oversight.

Effective cash control, liquidity planning, and financial risk management are essential for maintaining financial stability and supporting sustainable growth. MBB Auditing provides comprehensive treasury management services to help businesses optimize cash flows, strengthen financial controls, and enhance visibility over treasury operations.

Our experienced professionals assess your treasury processes, liquidity structures, and risk exposures, delivering practical insights and tailored solutions while you focus on managing and growing your business.

Partner with MBB Auditing to streamline your treasury operations and ensure your financial resources are managed with precision, transparency, and confidence.