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 |