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Treasury Manager

RAIC(Riadat Al-Mamoura International Company), Finance, Saudi Arabia

**Refined Job Description:**

RAIC (Riadat Al-Mamoura International Company) is a leading organization in Saudi Arabia dedicated to excellence in providing innovative solutions within the industry. Our mission is to deliver high-quality services while maintaining a strong commitment to integrity, professionalism, and customer satisfaction. We foster a collaborative work culture that values teamwork, creativity, and continuous improvement.

We are currently seeking a Treasury Manager for a contract role based in Riyadh. The Treasury Manager will play a crucial role in overseeing the financial activities of the company. Responsibilities include managing cash flow, establishing and nurturing banking relationships, and developing effective investment strategies. The ideal candidate will possess strong analytical skills to assess financial risks, implement treasury policies, and ensure compliance with all relevant financial regulations.

The Treasury Manager will be responsible for monitoring cash flow trends, optimizing liquidity management processes, and identifying opportunities for cost-saving initiatives. Additionally, the individual will collaborate closely with internal stakeholders to provide strategic financial insights and support decision-making processes. The successful candidate must demonstrate exceptional communication skills, attention to detail, and the ability to thrive in a fast-paced environment.

If you are a seasoned finance professional with a proven track record in treasury management and are looking to make a significant impact within a dynamic organization like RAIC, we invite you to apply for this position. This role is ideal for candidates with prior experience in financial analysis, risk management, and treasury operations at mid-senior levels of their career. Join us in shaping the future of our company while advancing your own career growth opportunities. Apply now and be part of our dedicated team driving excellence in financial management at RAIC.

Key Job Requirements:
  • 5+ years of experience in treasury management
  • Experience with cash flow management
  • Knowledge of investment strategies
  • Bachelor's degree in Finance or related field
  • Professional certification such as CTP or CFA
  • Strong analytical skills
Key Job Responsibilities:
  • Manage cash flow and banking relationships
  • Analyze financial risks and implement treasury policies
  • Ensure compliance with financial regulations
  • Monitor investment strategies
Skills:
  • Cash flow management
  • Banking relationships
  • Financial risk analysis
  • Treasury policies implementation
  • Financial regulations compliance

Seniority Level: Middle Management

Job Functions: Finance

  • Risk Management
  • Compliance

Industries : Finance

  • Banking
  • Investment

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