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Treasury Manager

إبراق | IBRAQ
Jeddah, KSA
Fulltime
Director
2 months ago
LeadershipStrategic PlanningBudgetingTeam ManagementPerformance ManagementProject Management
Free

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LeadershipStrategic PlanningBudgeting
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Primary Purpose

Ensure an organization's financial stability and liquidity by managing cash flow, overseeing investments, mitigating financial risks, and optimizing capital to support strategic goals and operations.

Core

  • :Monitoring daily cash positions and ensuring adequate liquidity
  • .Managing cash inflows/outflows and optimizing bank accounts
  • .Developing cash flow forecasts for funding needs
  • .Identifying and mitigating financial risks (e.g., interest rate, currency exposure)
  • .Managing short-term investments to earn optimum interest
  • .Supporting debt management and capital structure strategies
  • .Overseeing electronic payments, bank reconciliations, and daily transactions
  • .Ensuring adherence to internal controls, policies, and regulatory requirements
  • .Collaborating with finance/FP&A to optimize working capital
  • .Contributing to scenario planning and financial analysis
  • .Preparing financial reports, forecasts, and board materials
  • .Managing relationships with banks and financial institutions
  • .Managing relationships with banks and other financial institutions, negotiating terms and fees, and overseeing bank account administration (opening/closing accounts, managing signatories) is a key responsibility
  • .Ensuring compliance with internal treasury policies, procedures, and external regulatory requirements (e.g., SOX, GAAP) is vital. They prepare and present regular treasury reports and analyses to senior management and auditors
  • .Driving automation and efficiency in treasury operations, often by leveraging treasury management systems (TMS) and ERP platforms, is an increasingly important part of the role
  • .

Qualification

s:Education

: Bachelor's Degree In Finance, Accounting, Economics, or Business Administratio

n.M

BA Often preferred or an advantag

e.

Experien

ce :10 years in treasury, corporate finance, or related roles, with supervisory experie

nce.

Ski

  • lls :
  • Presenting complex data clearly, negotiating with banks, and building stakeholder
  • trust.Managing teams, influencing dec
  • isions.Building strong internal and external networks (banks, par
  • tners).Forecasting, cash flow analysis, and optimizing cash pos
  • itions.Identifying, assessing, and mitigating financial risks (FX, interest rate, c
  • redit).Modeling, budgeting, financial reporting, and understanding financial instr
  • uments.

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