We are looking for a highly detailed and proactive Treasury Professional to join our Riyadh office, taking full ownership of treasury operations across KSA and the Gulf markets.
Requirements
- Execute end-to-end daily treasury operations, including cash reporting, position management, and accurate postings within SAP TRM.
- Monitor actual cash flow and perform variance analysis against forecasts, escalating liquidity risks to Group Treasury and Finance leadership.
- Manage KSA bank relationships, overseeing account lifecycles, KYC documentation, bank automation, FX settlements, and limit management.
- Prepare regional treasury reports analyzing bank expenses, payment costs, and service performance across all Gulf entities.
Benefits
- Hybrid working model with flexibility
- Personalised training allowance and learning opportunities
- Responsibility from day one
- A diverse, international team
- Opportunities to grow with the best
- Meaningful connections beyond tasks