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Finance Manager

Jumeirah, Finance, Saudi Arabia

Jumeirah, a leading company in the hospitality industry in Saudi Arabia, is seeking a Finance Manager to join our dynamic team. Our mission is to provide exceptional service and unforgettable experiences to our guests while maintaining a strong financial foundation. We value integrity, innovation, and teamwork in all aspects of our operations.

As the Finance Manager, you will be responsible for overseeing cash flow, fixed deposit placement, and cash forecasting to optimize liquidity and returns. You will prepare and report treasury activities such as cash management, loans, swaps, insurance, and tax compliance to senior management and external stakeholders. Managing banking relationships, credit card arrangements, and payment processes will also be part of your role to ensure efficiency and compliance with finance directives.

Your duties will include ensuring compliance with finance directives, loan agreements, tax regulations, and insurance policies through regular reviews and adherence to payment schedules. Additionally, you will manage annual insurance renewals, claims processing, and broker relationships to maintain adequate coverage and minimize risk exposure. Addressing inquiries related to payments, credit cards, insurance, taxes, and banking operations will also be essential in facilitating smooth financial transactions within the organization.

If you are a detail-oriented individual with strong analytical skills and a background in finance management looking to make a significant impact in a reputable company like Jumeirah, we invite you to apply for the Finance Manager position. This role is ideal for experienced finance professionals who thrive in a fast-paced environment where excellence is valued. Join us in upholding our commitment to exceptional service delivery while ensuring sound financial practices across all operations.

Key Job Requirements:
  • 5+ years of experience in finance
  • Experience managing treasury activities
  • Experience with insurance policies
  • Bachelor's degree in Finance or related field
  • Professional certification such as CFA or CPA
  • Knowledge of tax regulations
Key Job Responsibilities:
  • Oversee cash flow optimization
  • Prepare treasury reports for senior management
  • Manage banking relationships efficiently
  • Ensure compliance with finance directives and regulations
Skills:
  • Cash flow management
  • Treasury reporting
  • Banking relationship management
  • Insurance policy knowledge
  • Tax regulation understanding

Seniority Level: Middle Management

Job Functions: Finance

  • Treasury
  • Banking

Industries : Finance

  • Insurance
  • Banking

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