img
Contract TypeFull-time
Workplace typeOn-site
LocationRiyadh

Job Description

About the Opportunity

Dar AlBalad is seeking a highly skilled Treasury Specialist (FX & Banking) to join our client's team in the financial domain. This is a full-time position based in Riyadh, Kingdom of Saudi Arabia. Please note, this opportunity is open exclusively to SAUDI NATIONALS ONLY.

Role Overview

The Treasury Specialist will play a crucial role in managing and optimizing treasury operations, with a particular focus on foreign exchange and banking relationships. This position requires a professional with a strong background in financial management within a dynamic environment.

Core Responsibilities

  • Manage and execute Foreign Exchange (FX) Deals effectively.
  • Oversee comprehensive Currency Management strategies.
  • Cultivate and maintain relationships with Banking & Financial Institutions.
  • Implement and monitor robust Cash & Liquidity Management practices.

Qualifications and Experience

  • A minimum of 8 years of experience in Treasury operations is required.
  • Demonstrated expertise in Foreign Exchange (FX) Deals, Currency Management, Banking & Financial Institution interactions, and Cash & Liquidity Management.

Essential Skills

  • Strong analytical capabilities to assess financial data and market trends.
  • Proven negotiation skills for favorable financial terms and agreements.
  • Excellent communication skills for effective internal and external stakeholder engagement.

Application Information

This full-time role is based in Riyadh, KSA. We encourage qualified Saudi Nationals who meet the specified requirements to apply. Salary details will be discussed during the interview process.


Requirements

  • For Saudis Only
  • Requires 5-10 Years experience

Similar Jobs