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Treasurer📣 Job Ad
in مجموعة الكفاري
12 days ago
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Contract Type | Full-time | |
Workplace type | On-site | |
Location | Abha |
Join Alkaffary Group as a Treasurer
Alkaffary Group is looking for a dedicated and experienced Treasurer to oversee our organization's financial health. The Treasurer will play a critical role in managing cash flow, funding, and investment strategies while ensuring compliance with company policies and regulations. This position demands a strategic mindset and the ability to analyze complex financial data to inform decision-making. The successful candidate will be responsible for creating financial reports, forecasting financial trends, and providing valuable insights to senior management.
Key Responsibilities:
Requirements:
Alkaffary Group is looking for a dedicated and experienced Treasurer to oversee our organization's financial health. The Treasurer will play a critical role in managing cash flow, funding, and investment strategies while ensuring compliance with company policies and regulations. This position demands a strategic mindset and the ability to analyze complex financial data to inform decision-making. The successful candidate will be responsible for creating financial reports, forecasting financial trends, and providing valuable insights to senior management.
Key Responsibilities:
- Manage and monitor the organization's cash flow and liquidity positions
- Develop and execute investment strategies aligned with Alkaffary Group's financial goals
- Prepare financial forecasts and reports to guide management decisions
- Oversee compliance with financial regulations, policies, and best practices
- Collaborate with banks and other financial institutions for funding and investment purposes
- Conduct risk assessments and develop strategies to mitigate financial risks
- Support the budgeting process and ensure financial sustainability across projects
Requirements:
- Bachelor's degree in Finance, Business Administration, or a related field; professional certification (CFA, CPA) is a plus
- At least 5 years of experience in treasury management or similar financial roles
- Strong understanding of financial instruments, cash management, and investment analysis
- Excellent analytical, problem-solving, and decision-making abilities
- Strong communication and leadership skills
- Proficient in financial modeling and forecasting techniques
- Advanced skills in Microsoft Excel and financial management software
Requirements
- Open for all nationalities
- Requires 0-1 Year experience