Treasury Specialist
📣 إعلان| نوع العقد | دوام كامل | |
| طبيعة الوظيفة | بالموقع | |
| الموقع | الجبيل |
وصف الوظيفة
About Advanced Circular Materials Company
Advanced Circular Materials Company (ACMC) is a joint venture established in 2022 by Shell, AMG Recycling BV, and United Company for Industry (UCI), a subsidiary of Aljomaih Group. Located in Al Jubail Industrial City, Eastern Region, Saudi Arabia, ACMC is developing a world-class Catalyst Manufacturing and Metals Reclamation Supercenter. This facility aims to position Saudi Arabia as a global leader in vanadium supply, a critical material for energy storage technologies and high-strength steel infrastructure. ACMC supports Saudi Vision 2030 by localizing value chains and accelerating the global energy transition through cutting-edge technology, closed-loop systems, and strategic partnerships, including an agreement with Saudi Aramco.
The Role of Treasury Specialist
The Treasury Specialist is a full-time position responsible for managing the company's cash flow, banking operations, liquidity planning, debt facilities, and financing activities within a manufacturing environment. This role supports the organization's financial stability by ensuring adequate funding, optimizing cash utilization, maintaining banking relationships, and managing loans and lender obligations. The position requires 5-10 years of relevant experience.
Key Responsibilities
- Manage daily cash positions, monitor bank balances, and optimize cash utilization.
- Prepare and maintain rolling cash flow forecasts and funding requirements.
- Execute fund transfers, investments, and other treasury transactions in accordance with approved policies.
- Manage working capital by monitoring receivables, payables, and cash conversion cycles.
- Reconcile bank accounts and investigate variances.
- Manage all company loan facilities, monitoring covenants, repayment schedules, interest calculations, and compliance with financing agreements.
- Coordinate loan drawdowns, repayments, refinancing activities, and required lender reporting.
- Serve as the primary point of contact with banks, financial institutions, and lenders regarding financing arrangements and treasury operations.
- Build and maintain strong relationships with lenders to support funding requirements and negotiate favorable financing terms.
- Support debt financing activities, including preparation of financial information and documentation required by lenders.
- Monitor foreign exchange exposures and support the implementation of hedging activities where applicable.
Strategy and Performance Management
- Support the development and execution of the company's treasury strategy, ensuring alignment with business objectives and growth plans.
- Monitor and forecast short-term and long-term liquidity requirements to ensure sufficient funding for operations and capital projects.
- Prepare treasury reports, cash flow forecasts, and liquidity analysis for management decision-making.
Compliance and Governance
- Ensure treasury transactions comply with corporate policies, financing agreements, banking regulations, and applicable legal requirements.
- Support internal and external audit activities relating to treasury, banking, and financing operations.
- Maintain compliance with lender covenants and reporting obligations.
- Ensure adherence to KSA financial regulations, tax requirements, and corporate governance standards.
متطلبات الوظيفة
- تتطلب ٥-١٠ سنوات خبرة
وظائف مشابهة
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