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Contract TypeContract TypeFull-time
Workplace typeWorkplace typeOn-site
LocationLocationAbha
Join Alkaffary Group as a Treasurer!
We are seeking a dedicated and experienced Treasurer to manage our organization’s financial health. This role is crucial for overseeing cash flow, funding, and investment strategies while ensuring compliance with company policies and regulations.

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
Saud
مجموعة الكفاري

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‎Treasurer

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مجموعة الكفاري

Full-time
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:
  • 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

breifcase0-1 years

locationAbha

12 days ago