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نوع العقدنوع العقددوام كامل
طبيعة الوظيفةطبيعة الوظيفةبالموقع
الموقعالموقعجدة
Join Al Falak as an Executive Assistant to the CEO!
As a pivotal part of our team, you will manage correspondence and communication for our CEO, organizing schedules and appointments, coordinating travel arrangements, and maintaining organized records.

Key Responsibilities:
  • Organize the CEO’s office agenda, schedule, and appointments.
  • Coordinate and follow up on travel arrangements, including airline and hotel reservations.
  • Archive incoming and outgoing communications, ensuring quick access to information.
  • Prepare comprehensive briefing materials tailored for visits and meetings.
  • Manage daily business operations while providing guidance to the management team.
  • Oversee personnel tasks, ensuring smooth operations and assignments.
  • Arrange medical appointments and monitor healthcare needs.

Skills Required:
  • Excellent communication and organizational skills.
  • Strong time management abilities.
  • Proficient in multitasking and prioritization.
  • Discretion and problem-solving capabilities.
  • Attention to detail and proficiency in Microsoft Office Suite.

Preferred Qualifications:
Bachelor’s degree or higher diploma.

متطلبات الوظيفة

  • لجميع الجنسيات
  • لا تتطلب خبرة
Saud

وظائف مشابهة

مساعد مدير فرع

📣 إعلان

كِنَان

دوام كامل
Join Kinan as an Assistant Manager in Treasury!
We are looking for a detail-oriented individual to help manage the company’s financial operations, ensuring that there is sufficient cash for day-to-day activities, improving cash flow, and managing financial risks. In this role, you will play a critical part in maintaining the financial health of the company.

Main Accountabilities:
  • Oversee daily treasury operations including online banking and bank account management.
  • Monitor and manage daily cash balances for operational liquidity.
  • Prepare cash flow forecasts for future financial planning.
  • Create regular treasury reports, detailing cash positions and loans for management.
  • Manage new and existing bank accounts, maintaining updated signatories.
  • Facilitate monthly closing operations, including bank reconciliations and loan schedules.
  • Track debt schedules and ensure compliance with loan repayment timelines.
  • Enhance banking relationships and optimize cash management processes.
  • Assist in processing online transfers and payment transactions.

Required Education & Experience:
  • Bachelor’s degree in finance, business, management, or accounting.
  • A minimum of 5 years of relevant experience, including at least 2 years in Treasury.

Required Languages & Skills:
  • Proficient in English.
  • Advanced proficiency in MS Office Suite, especially Excel and PowerPoint.
  • Understanding of treasury operations, forecasting, budgeting, and accounting principles.

breifcase0-1 سنة

locationجدة

منذ 15 يوم