Full-time Digital marketing manager Jobs in Saudi Arabia

More than 2585 Full-time Digital marketing manager Jobs in Saudi Arabia. Explore detailed job descriptions, salaries, and locations. Apply and get hired today!



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‎Treasurer

‎Treasurer

📣 Job Ad

Saudi Industrial Gas Company

Full-time
Join Our Team as a Senior Treasurer!
At Saudi Industrial Gas Company, we are excited to announce a unique opportunity for a Senior Treasurer to be a part of our newly established Regional Headquarters in Dammam, Saudi Arabia.

What You Will Enjoy Doing:
  • Set up and consolidate the Treasury function for 6 legal entities within our headquarters.
  • Manage all deposits, loans, and currency trading.
  • Oversee and manage daily cash-flows.
  • Perform cash-flow forecasts quarterly with Controllers.
  • Report group financials to Corporate Treasury.

What Makes You Great:
  • A University degree in economics, preferably financing.
  • At least 8 years of experience in treasury functions at multinational corporations.
  • Successful implementation and improvement of treasury-related processes.
  • Strong command of English.
  • Familiarity with D365 and SAP is an advantage.

Why You Will Love Working with Us:
At Linde, we value thinking outside the box and delivering great solutions to our internal customers. You will have a variety of opportunities to excel and contribute to making our company inclusive and diverse.

What We Offer You:
Join us at Linde where you can build a career that not only benefits you but also enhances the communities we serve. We prioritize safety, responsible actions towards humanity and the environment, and prioritize learning and development in a culture of open communication.

Have we inspired you? We’re looking forward to receiving your complete application!

breifcase2-5 years

locationDammam

11 days ago
‎Treasurer

‎Treasurer

📣 Job Ad

PC Marine

Full-time
Join Our Team as a Treasurer!
Are you ready to take on a crucial role in managing our company's treasury operations? At PC Marine, a leader in marine works, we invite you to apply for the Treasurer position located in Jeddah, Saudi Arabia. This is a unique opportunity to contribute to our projects through efficient cash management and banking relationships.

Key Responsibilities:
  • Cash & Liquidity Management: Monitor daily cash flows and ensure adequate funds for project and operational needs. Prepare periodic cash flow forecasts based on project schedules.
  • Banking Relations: Act as the primary liaison with local and international banks for treasury matters. Negotiate banking terms and manage documentation for financial instruments.
  • Trade Finance: Handle issuance and renewal of Letters of Credit and Guarantees. Coordinate roll-forward and banking documents for projects.
  • Loan Management: Administer all types of loans and track repayments and compliance.
  • ERP & Excel Usage: Use the company’s ERP system for treasury functions and prepare advanced Excel reports for financial analysis.
  • Compliance: Ensure compliance with banking regulations and maintain accurate records for audits.

Qualifications:
  • Bachelor’s degree in Finance, Accounting, or related discipline; Master’s or certifications (CMA, CPA, ACCA) preferred.
  • Minimum 5 years of treasury experience, ideally in the construction sector in Saudi Arabia.
  • Strong knowledge of banking operations and trade finance in the KSA.
  • Familiarity with local regulations, especially SAMA and VAT compliance.

breifcase2-5 years

locationJeddah

11 days ago
Warehouse Specialist

Warehouse Specialist

📣 Job Ad

Beckman Coulter Diagnostics

Full-time
Join Beckman Coulter Diagnostics as a Warehouse Specialist!
Beckman Coulter Diagnostics has over 80 years of dedication to advancing healthcare through diagnostic solutions. In this role, positioned in Riyadh, you'll optimize warehouse operations and be a vital part of our mission to deliver smarter, faster diagnostics.

Key Responsibilities:
  • Manage and optimize the storage area for maximum efficiency.
  • Ensure a safe working environment by monitoring risks and conducting trainings.
  • Maintain accurate inventory records through regular counts and reconciliation.
  • Report discrepancies and maintain system records.
  • Schedule customer orders and ensure timely deliveries.
  • Coordinate with Customer Service representatives to resolve any order issues.
  • Track temperature for cold chain storage.
  • Ensure compliance with local and company warehouse standards.
  • Prepare transportation schedules and optimize delivery routes.
  • Handle monthly reporting and investigate customer complaints.

Essential Requirements:
  • Bachelor's degree in business administration or equivalent.
  • Minimum 3 years of experience in warehouse operations.
  • Experience with Oracle ERP and Warehouse Management Systems.
  • Strong skills in stock counting and warehouse management.
  • Proficiency in relevant computer software.

Become part of a culture that values your background and experiences. We recognize the importance of flexible working arrangements and are committed to supporting your career development. Explore the benefits of joining Beckman Coulter Diagnostics today!

breifcase2-5 years

locationRiyadh

11 days ago
Treasury Specialist

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

11 days ago
‎Treasurer

‎Treasurer

📣 Job Ad

Ali Zaid Al-Quraishi & Brothers

Full-time
Job Purpose:
To support the organization’s financial stability by effectively managing trade finance, loan operations, banking relationships, and treasury-related reporting. The Treasury Officer ensures accurate execution of treasury transactions while maintaining compliance with policies, procedures, and regulatory standards.

Key Responsibilities:
  • Policies and Procedures:
    • Recommend enhancements to treasury-related policies and procedures.
    • Ensure effective implementation and compliance with controls across all treasury activities.
  • Core Treasury Operations:
    • Handle trade finance transactions including issuing Letters of Credit, Guarantees, and related amendments.
    • Manage loan operations such as new loan issuance, rollovers, and settlements.
    • Oversee Know Your Customer (KYC) processes including bank account openings/closures, online banking agreements, POS and credit card arrangements.
    • Prepare and execute bank transfers, and maintain proper documentation including bank statements.
    • Generate regular and ad hoc reports on trade activities, loans, and KYC compliance.
  • Other Duties:
    • Perform other job-related assignments or projects as requested by the supervisor/manager, especially those arising under special or unforeseen circumstances.

Requirements:
  • Bachelor's degree in Finance, Accounting, Business Administration, or related field.
  • 2+ years of experience in treasury operations or corporate banking.
  • Strong understanding of trade finance instruments and loan processes.
  • Proficiency in banking platforms and Microsoft Office tools.

Key Competencies:
  • Attention to detail and accuracy.
  • Strong analytical and organizational skills.
  • Ability to handle sensitive financial data with integrity.
  • Effective communication and teamwork abilities.

Languages:
  • EN - Professional Working Proficiency
  • AR - Native or Bilingual Proficiency

breifcase2-5 years

locationAl Khobar

11 days ago
Financial Analysis Specialist

Financial Analysis Specialist

📣 Job Ad

Domo Ventures W.L.L.

Full-time
Join Our Team as a Financial Analyst!
We are seeking a proactive Financial Analyst to become a vital part of our dynamic team in Al Khobar, Saudi Arabia. The Financial Analyst will be instrumental in analyzing financial statements to evaluate investment opportunities and create financial models that highlight profitable investments.

Responsibilities:
  • Lead all financial and legal workstream activities to achieve financial close.
  • Present weekly updates to senior management, including risk assessments.
  • Monitor project timelines and ensure compliance with agreed deadlines.
  • Manage transaction advisor deliverables according to the project scope.
  • Ensure project delivery aligns with agreed timelines.
  • Update and build scenarios on financial models.
  • Prepare templates for raising funds through debt and equity.
  • Assist in negotiations with banks and project sponsors for financing.
  • Manage annual budgets and forecasts for PPP projects and other business units.
  • Ensure expenditures are authorized and adequately documented.
  • Conduct basic financial analysis to support information needs.
  • Assess and structure projects/bids for potential commercial financing.
  • Provide insights on reports, agreements, and project documents related to PPP initiatives.
  • Lead project negotiations with clients and contractors.
  • Review legal documentation for projects.
  • Maintain timesheets and review financial documents.
  • Understand financial models and analysis of IRR and cash flows.
  • Support financing efforts to achieve lower interest rates.
  • Assist higher management in securing EBL facilities.
  • Handle insurance matters associated with the project.

Skills Required:
  • PPP modeling experience is essential.
  • Project finance-related financial modeling experience is a must.
  • Ability to review and negotiate financing term sheets.
  • Understanding of financial statements and key accounting principles.
  • Capacity to build financial models from scratch.
  • Familiarity with the process of transitioning a project from bid award to financial close.
  • Knowledge of various debt terms (*, balloon, bullet, amortizing).

Qualifications:
  • Bachelor's degree in a relevant field.
  • Over 3 years of experience in a related field.

breifcase2-5 years

locationAl Khobar

11 days ago
Financial Analysis Specialist

Financial Analysis Specialist

📣 Job Ad

Steer Studios

Full-time
Join Steer Studios as a Senior Financial Analyst!

Steer Studios is on a mission to establish itself as a world-leading game studio in Saudi Arabia. With a focus on creating high-quality games for international audiences, we are enthusiastic about supporting the local gaming sector in developing homegrown intellectual property and making KSA a global hub for gaming.

As a Senior Financial Analyst, you will collaborate closely with the Finance Business Partner and accounting team to oversee various financial activities, including financial reporting, budgeting, forecasting, and analysis. Your role will be key in ensuring the accuracy and integrity of financial records at Steer Studios.

Key Responsibilities:
  • Prepare and analyze financial statements in accordance with applicable accounting standards.
  • Collaborate with department heads to develop annual budgets and forecasts.
  • Monitor and analyze budget-to-actual variances, providing insightful recommendations for improving financial performance.
  • Assist in preparing financial projections and long-term financial plans.
  • Prepare and submit monthly Profit & Loss (P&L) statements to department heads.
  • Ensure compliance with accounting principles and regulations.
  • Support internal and external audit processes.
  • Conduct detailed financial analysis, identifying trends and risks.
  • Prepare and present financial reports to management.
  • Collaborate with cross-functional teams to assess the financial impact of proposed projects.
  • Streamline financial processes, leveraging technology where applicable.
  • Create and maintain financial reporting policies for accuracy and compliance.

Qualifications & Key Skills:
  • Bachelor’s degree in accounting, finance, or a related field.
  • +5 years’ experience in a financial role with strong knowledge of accounting principles.
  • Proficient in Excel and PowerPoint.
  • Strong analytical and problem-solving skills.
  • Excellent communication skills, able to convey complex financial information clearly.
  • Strong organizational and time management skills.
  • Commitment to professionalism and confidentiality.

Let’s bring Steer Studios to the world!

breifcase2-5 years

locationRiyadh

11 days ago
Financial Analysis Specialist

Financial Analysis Specialist

📣 Job Ad

Mott MacDonald

Full-time
About the Job
As a part of the Middle East Finance Team, the Senior Finance Analyst will be responsible for providing support to the Finance Manager and wider business in the areas of financial analysis and management, reporting, reviews, internal audits and internal governance/business controls.

Key Responsibilities:
  • Support the Division Financial Manager with financial reporting on a monthly basis including month end management accounts and forecasts.
  • Participate in monthly project control meetings for major projects in the territory.
  • Maintain project control systems and provide finance training to enable unit staff to understand financial information.
  • Production of annual budgets at division level, and consolidation to unit level.
  • Business partnering for Divisional Managers/Territory Managers.
  • Assess financial aspects of contracts to determine implications on future performance.
  • Interpret management accounts and advise on financial performance and profitability.

Candidate Specification:
  • Minimum Bachelor’s degree in Finance and Accounting; professional qualifications will be an advantage.
  • Conversant in Microsoft products and experience in ERP systems.
  • Willingness to study for professional accountancy exams.
  • Proven ability to produce accurate management reports under tight deadlines.
  • Willingness to undertake business travel around the GCC and India.
  • Flexibility to work longer hours at peak times as required.

breifcase2-5 years

locationRiyadh

11 days ago