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Senior Treasury Analyst

Yanbu Aramco Sinopec Refining Company (YASREF)

Medina Province

On-site

SAR 70,000 - 100,000

Full time

Today
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Job summary

A leading refining company in Saudi Arabia is seeking a finance professional to provide technical expertise in Corporate Finance and Cash Management. Responsibilities include managing cash activities, conducting financial analysis, and ensuring compliance with risk management policies. Candidates should have strong analytical skills and experience in treasury functions. This role is critical for supporting management decisions effectively.

Responsibilities

  • Plan and manage all cash management activities.
  • Perform business and treasury analysis to support management decisions.
  • Conduct analysis to develop optimal capital structures.
  • Manage reporting requirements for debt and credit facilities.
  • Work with cross-functional teams to support corporate initiatives.
  • Prepare periodic cash and debt forecast reports.
  • Maintain an effective internal control framework.
  • Monitor intercompany fund movements.
  • Ensure compliance with policies and regulatory requirements.
  • Support supervisor in Credit/Debt management.
  • Review major contracts from a risk management perspective.
  • Evaluate cash management and corporate finance indicators.
  • Prepare comprehensive insurance manuals with policies.
  • Ensure timely completion of insurance activities and renewals.
  • Perform asset valuation reports.
  • Perform other duties as assigned.
Job description
JOB SCOPE

Ensure to provide technical expertise and solutions in the area of Corporate Finance & Cash Management and Risk Management &Insurance. Conduct analysis and implement various programs of Enterprise Risk Management (ERM) and Insurance policies in accordance with strategies and operational priorities. Provide support and performs business risk analysis, interprets data and generates reports that will support the decision making of the management.

KEY DUTIES & RESPONSIBILITIES
  1. Plan and manage all cash management and excess fund investment related activities, procedures and processes to ensure sufficient cash is available.
  2. Perform business and treasury analysis, interprets data and generates reports that will support the decision making of the management.
  3. Conduct analysis to develop the optimal capital structure. Prepare cash forecasting documents, report and presentations.
  4. Manage periodic internal and external reporting requirements for various debt and credit facilities. Liaison with accounting to ensure all cash and treasury journal entries are appropriately recorded.
  5. Work with cross-functional teams, including business units and Accounting to support broad corporate and Treasury-specific initiatives.
  6. Prepares periodic cash and debt forecast reports.
  7. Participate in maintaining an effective internal control framework and report its efficiency and effectiveness to management.
  8. Monitor intercompany fund movements.
  9. Update and ensure compliance with policies, procedures and regulatory requirements.
  10. Supporting the supervisor in Credit/Debt management, models and methodology and oversee monthly accrual processes.
  11. Review new major contracts or financial transactions from risk management perspective.
  12. Evaluate critical success factors and performance indicators for cash management and corporate finance and risk management.
  13. Prepare insurance manual with comprehensive and step‑by‑step guide covering all areas, policies and claim procedure.
  14. Ensure insurance activities, premium and renewal decisions are met within defined timeframe.
  15. Perform periodic asset valuation reports and derive a present value/fair market value. Assist in reviewing of new major contracts or financial transactions from risk management perspective.
  16. Perform other job‑related duties as assigned by the direct Supervisor.
Skills

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