Corporate Finance Manager - Treasury

Big Fish Consult

Jeddah

On-site

SAR 600,000 - 1,200,000

Full time

3 hours ago
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Job summary

Big Fish Consult in Saudi Arabia is seeking an experienced Corporate Finance Manager (Treasury) to lead treasury initiatives and strategic funding activities, enabling long-term business growth.

You will secure financing, manage banking relationships, and deliver insights to executives while supervising liquidity planning, capital structure optimisation, and complex financial modelling. Strong experience in debt and project finance is essential.

Qualifications

  • Bachelor's degree in finance, accounting, economics or related discipline required.
  • MBA, CFA, FRM, CTP or other professional qualifications highly desirable.
  • 5-8 years' experience in corporate finance, treasury, or related fields.

Responsibilities

  • Develop and lead treasury strategies aligned with long-term objectives.
  • Optimise capital structure across corporate and project financing.
  • Manage liquidity planning and funding requirements; oversee cash flow forecasting.
  • Lead debt financing, equity funding, and project finance transactions.
  • Support mergers & acquisitions, JVs, and strategic investments; perform financial modelling.

Skills

Treasury management
Financial modelling
Capital markets
Stakeholder management
Regulatory compliance

Education

Bachelor's Degree in Finance, Accounting, Economics or related
MBA, CFA, FRM, CTP or other relevant qualifications

Job description

An exciting opportunity has arisen for an experienced Corporate Finance Manager (Treasury) to join a leading large-scale development organisation in Saudi Arabia. This role will lead corporate finance and treasury initiatives, supporting strategic funding activities, capital structure optimisation, financial modelling, and transaction execution to enable long-term business growth.

The successful candidate will play a key role in securing financing, managing relationships with financial institutions, supporting strategic investments, and delivering financial insights to executive leadership.

Key Responsibilities:
Treasury & Capital Management
  • Develop and execute treasury strategies aligned with the organisation's long-term financial objectives.
  • Optimise the company's capital structure across corporate and project financing.
  • Manage liquidity planning and funding requirements to ensure efficient capital deployment.
  • Oversee cash flow forecasting and monitor funding requirements.
  • Analyse financing costs and recommend initiatives to improve funding efficiency.
Corporate Funding & Capital Markets
  • Lead the structuring and execution of debt financing, equity funding, and project finance transactions.
  • Evaluate financing alternatives and recommend optimal capital solutions.
  • Build and maintain strong relationships with banks, financial institutions, lenders, and external advisors.
  • Negotiate financing terms, loan agreements, covenants, and transaction documentation.
  • Support refinancing initiatives and capital restructuring projects.
Corporate Finance & Strategic Transactions
  • Lead or support mergers & acquisitions, joint ventures, strategic investments, divestments, and other corporate transactions.
  • Develop complex financial models, valuation analyses, and investment appraisals.
  • Coordinate financial due diligence activities with legal, investment, and external advisory teams.
  • Prepare investment papers, Board presentations, lender submissions, and executive reports.
  • Build and maintain integrated financial models supporting funding, investment decisions, and business planning.
  • Evaluate project returns, cost of capital, investment performance, and financing scenarios.
  • Support strategic planning through detailed financial analysis and commercial recommendations.
  • Assess the financial impact of new business initiatives and investment opportunities.
Treasury Risk Management
  • Monitor liquidity, financing, interest rate, and financial risks.
  • Recommend appropriate risk mitigation and hedging strategies where applicable.
  • Ensure compliance with financing agreements, treasury policies, and regulatory requirements.
  • Continuously improve treasury governance, policies, and reporting frameworks.
Stakeholder Management
  • Build strong relationships with banks, financial institutions, legal advisors, auditors, and financial consultants.
  • Partner closely with Finance, Investment, Development, Legal, and Executive Management teams.
  • Deliver high-quality financial analysis and presentations for senior leadership, investment committees, lenders, and the Board.
Candidate Requirements:
Education
  • Bachelor's Degree in Finance, Accounting, Economics or a related discipline.
  • MBA, CFA, FRM, CTP or other relevant professional qualifications are highly desirable.
Experience
  • 5-8 years' experience in Corporate Finance, Investment Banking, Transaction Advisory, Project Finance or Treasury.
  • Strong experience in debt raising, corporate funding and capital structure management.
  • Proven expertise in financial modelling and valuation.
  • Experience executing financing transactions, refinancing, project finance or M&A activities.
  • Previous experience gained within:
  • Big Four Advisory firms (KPMG, PwC, EY or Deloitte), and/or
  • Investment banks, corporate finance advisory firms or capital investment organisations.
  • Experience within real estate, infrastructure, construction, or other capital-intensive sectors is highly preferred.
  • Knowledge of the Saudi financing landscape and banking market is advantageous.
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