Join Petro Rabigh as a Financial Analyst in our Treasury Section!Are you ready to manage cash management activities and support strategic financial operations within a top-tier oil and gas company? We are looking for a talented individual who thrives in a dynamic environment and is eager to contribute to our financial success.
Key Responsibilities:- Prepare Daily Cash Position and Cash Flow Forecast reports, while also developing ad-hoc reports as necessary.
- Support the Treasurer in implementing Treasury policies and manage various financial activities.
- Participate in policy preparation ensuring compliance with departmental transactions.
- Handle FX deals and monitor our loan portfolio effectively.
- Lead daily activities and transactions inherent to the unit while coordinating audit events.
- Represent the section in meetings and consultations, ensuring alignment with company objectives.
Minimum Requirements:- Bachelor’s Degree in Business Administration, Finance, or Accountancy.
- CMA or similar certification is preferred.
- Over 6 years of relevant experience, with a strong analytical mindset.
- Proficiency in financial software such as SAP and a keen attention to detail.
Join us in advancing Saudi Arabia’s Vision 2030 and be part of an innovative, energetic, and forward-thinking team!