Our client, a diversified investment company in Riyadh is looking to hire a Treasury Specialist who will be managing the daily treasury operations including financing, cash recycling/investment, interest rate risk identification, and mitigation. Handle all communications with the banks as well as negotiate and implement different treasury & banking products.
- Ability to prepare, review, and accomplish different banking deals and transactions.
- Must possess a Bachelor degree in accounting, finance or equivalent fields.
- Ability to plan effectively and a strong sense of accountability is required.
- Must be thoroughly knowledgeable about corporate finance principles and accounting standards.
- Due to localization and gender diversity, the role requires a Female Saudi National.
- 7-10 years’ work experience in treasury.
- Certified in CPA , CFA , CMA, or similar professional qualifications.