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Treasury Manager

Unknown
Industrial Area-Kharj Road, KSA
Full time
Director
2 months ago
LeadershipStrategic PlanningBudgetingTeam ManagementPerformance ManagementProject Management
Free

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LeadershipStrategic PlanningBudgeting
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Overview

As Treasury Manager , you will play a strategic leadership role in managing the company’s cash flow, liquidity, banking relationships, and financing activities.

This position is critical in supporting companies' manufacturing and project-based operations by ensuring optimal fund availability, minimizing financial risks, and improving working capital performance.

What You’ll Bring

  • Develop and manage short-term and long-term cash flow forecasts.
  • Monitor daily liquidity and ensure sufficient funds for operational obligations.
  • Manage banking relationships and negotiate existing and new credit facilities.
  • Oversee financing activities, including loans, LCs, and credit lines.
  • Manage financial risks such as FX exposure and interest rate fluctuations.
  • Optimize working capital across receivables, payables, and inventory.
  • Supervise collections and payments to improve efficiency.
  • Prepare treasury reports covering liquidity, funding, and financial risks.
  • Partner with procurement, projects, and production teams for accurate forecasting.
  • Ensure compliance with internal financial policies and Saudi regulations.
  • Support investment decisions through financial analysis and risk assessment.
  • Drive financing structure improvements aligned with market benchmarks.

Minimum Qualifications & Experience

  • Bachelor’s degree in Finance, Accounting, or a related field (Master’s preferred).
  • CTP, CFA, or equivalent treasury/finance certifications are preferred.

Experience

  • Minimum 10 years of treasury or finance experience.
  • Prior experience in industrial, manufacturing, or project-based environments is highly preferred.
  • Strong background in banking facilities, liquidity planning, and working capital optimization.

Skills & Knowledge

  • Strong financial analysis and treasury management expertise.
  • In-depth knowledge of banking and financing instruments.
  • Experience in risk management, forecasting, and investment evaluation.
  • Strong negotiation and stakeholder management skills.
  • Proficiency in ERP and financial systems (SAP, Oracle, Dynamics).
  • Advanced Excel, Power BI, and financial modelling capabilities.
  • Strong leadership, strategic thinking, and decision-making skills.
  • Ability to work under pressure and manage multiple priorities.
  • Excellent communication and cross-functional collaboration skills.

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