Treasury Manager

 

Description:

We are seeking a Treasury Manager to oversee cash management, liquidity, and financial risk strategies.

Key Responsibilities:
- Manage cash flow, liquidity, and banking relationships
- Develop treasury strategies and risk management plans
- Monitor foreign exchange and interest rate exposure
- Optimize working capital and funding structures
- Prepare treasury reports and forecasts
- Ensure compliance with financial policies

Requirements:
- 7–12+ years of treasury or finance experience
- Strong understanding of cash management and risk
- Experience with treasury systems and banking tools
- Analytical and strategic mindset
- GCC experience preferred

Organization Confidential
Industry Management Jobs
Occupational Category Treasury Manager
Job Location Riyadh,Saudi Arabia
Shift Type Morning
Job Type Full Time
Gender No Preference
Career Level Experienced Professional
Experience 7 Years
Posted at 2026-04-30 5:38 pm
Expires on 2026-07-29