img
Contract TypeContract TypeFull-time
Workplace typeWorkplace typeOn-site
LocationLocationRiyadh
Join Our Team as a Treasury Specialist
We are looking for a detail-oriented and analytical Treasury Specialist to join our finance team. This vital role will ensure the efficient and accurate processing of all company payments and collection confirmations, which are essential to our daily cash management operations.

Key Responsibilities:
  • Monitor daily cash balances and transactions to ensure effective fund utilization.
  • Prepare and process various types of payments, including vendor invoices and employee reimbursements while ensuring proper authorization and documentation.
  • Confirm customer and other collections accurately and in a timely manner.
  • Investigate and resolve payment issues in collaboration with internal departments and external parties, including banks and vendors.
  • Ensure all payments comply with internal policies and financial regulations.
  • Track the company’s insurance portfolio, maintaining accurate records and coordinating with insurance providers as needed.

Requirements:
  • Bachelor’s degree in Finance, Accounting, or related field.
  • Minimum of 2 years of experience in treasury or related financial functions.
  • Previous experience in an airline or aviation accounting environment is beneficial.
  • Strong understanding of payment systems and treasury operations.
  • High accuracy and attention to detail in financial transactions.
  • Proficient in Microsoft Office, especially Excel.
  • Familiarity with Microsoft Dynamics 365 or other ERP systems is a plus.
  • Strong communication and problem-solving skills.

Requirements

  • Requires 2-5 Years experience

Similar Jobs

Treasury Specialist

📣 Job Ad

Qiddiya Investment Company

Full-time
Join Qiddiya Investment Company as a Senior Specialist - Treasury!
Qiddiya Investment Company is redefining entertainment in Saudi Arabia, and we're seeking a strategic and analytical Senior Specialist - Treasury to enhance our finance team. In this key position, you'll be tasked with managing treasury functions, ensuring effective cash management, funding strategies, and mitigating financial risks to align with our organizational goals.

Key Responsibilities:
  • Oversee daily cash flow and liquidity to support operations and investments.
  • Develop and implement treasury policies for optimal cash management.
  • Identify and mitigate financial risks concerning currency, interest rates, and liquidity.
  • Collaborate with banks to negotiate favorable terms and strengthen partnerships.
  • Prepare detailed financial analyses on cash positions and treasury operations.
  • Assist in formulating long-term funding strategies, evaluating business decisions' financial impact.
  • Ensure compliance with regulatory and internal control requirements.
  • Mentor junior treasury staff to promote best practices and professional growth.

Qualifications:
  • Bachelor's degree in Finance, Economics, Accounting, or a related field (Master's degree is a plus).
  • 47 years of experience in treasury management or financial analysis.
  • In-depth knowledge of cash management techniques and financial instruments.
  • Strong analytical and problem-solving abilities.
  • Excellent communication and interpersonal skills.
  • Proficiency in treasury management systems and advanced Excel.
  • Relevant certifications such as CFA or CTP are advantageous.

breifcase2-5 years

locationRiyadh

18 days ago