Description:
𝐊𝐞𝐲 𝐑𝐞𝐪𝐮𝐢𝐫𝐞𝐦𝐞𝐧𝐭𝐬:
✅ Minimum 8+ years of experience in Finance / Treasury / Risk Management
✅ Strong Financial & Accounting background
✅ Hands-on experience in Treasury Operations & Financial Risk Management
✅ Expertise in Cash Flow Forecasting, Investment Planning & Risk Analysis
✅ Advanced Excel & Business Intelligence reporting skills
✅ Experience in compliance, governance & financial control frameworks
✅ Strong analytical, reporting & stakeholder management skills
📌 𝐉𝐨𝐛 𝐑𝐞𝐬𝐩𝐨𝐧𝐬𝐢𝐛𝐢𝐥𝐢𝐭𝐢𝐞𝐬:
🔹 Ensure compliance with internal treasury policies and controls
🔹 Lead implementation of Financial Risk Framework across the organization
🔹 Prepare market insights, economic analysis & executive-level treasury reports
🔹 Monitor cash flow projections, treasury records & banking activities
🔹 Coordinate treasury and risk initiatives with internal & external stakeholders
🔹 Support management decision-making through financial dashboards & analysis
🔹 Work closely with accounting teams and auditors for reporting compliance
🔹 Establish risk controls, escalation procedures & governance reporting
| Organization | Confidential |
| Industry | Accounting / Finance / Audit Jobs |
| Occupational Category | Treasury Manager |
| Job Location | Jeddah,Saudi Arabia |
| Shift Type | Morning |
| Job Type | Full Time |
| Gender | No Preference |
| Career Level | Intermediate |
| Experience | 2 Years |
| Posted at | 2026-05-11 3:22 pm |
| Expires on | 2026-08-09 |