Treasury Accountant

Binzagr CO-RO LTD.

Jeddah

On-site

SAR 120,000 - 180,000

Full time

4 days ago
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Job summary

Binzagr CO-RO LTD. in Jeddah invites a Treasury Accountant to oversee cash positions, bank facilities, and ERP postings within a dynamic finance team.

You will collaborate with AR, AP, and FP&A to optimize working capital, monitor cash flow, and ensure timely reconciliations across multiple banks. A bachelor's in finance or accounting and 3–4 years of treasury experience are required; MS Dynamics 365 is preferred.

Qualifications

  • Bachelor's degree in Finance, Accounting, or related field.
  • 3–4 years of treasury or finance experience.
  • Experience with ERP systems; MS Dynamics 365 preferred.
  • Strong Excel skills.
  • Strong analytical, communication, and time management skills.

Responsibilities

  • Monitor daily cash positions across multiple banks and perform bank reconciliations.
  • Track bank facilities, including loans, LCs, and LGs.
  • Review collections and ensure daily branch deposits are reconciled.
  • Prepare payment schedules and rolling weekly/monthly cash flow forecasts.
  • Analyze cash flow forecast versus actual results and identify variances.
  • Coordinate with AR, AP, and FP&A teams to support cash flow and working capital management.
  • Monitor collections and ensure accurate ERP posting.
  • Manage credit, fleet, and property insurance.
  • Identify financial and operational risks and maintain the risk register.
  • Prepare reports covering cash position, cash flow, collections, bank facility usage, insurance, and risk management.

Skills

Cash management
ERP experience
Strong Excel
Analytical & communication skills

Education

Bachelor's degree in Finance/Accounting

Tools

MS Dynamics 365
ERP systems
Microsoft Excel

Job description

Role: Treasury Accountant. Location: Jeddah.

Minimum Requirements
  • Bachelor's degree in Finance, Accounting, or a related field
  • 3-4 years of experience in Treasury or Finance
  • Experience with ERP systems
  • MS Dynamics 365 is preferred
  • Strong Excel skills
  • Good understanding of treasury, cash management, and banking operations
  • Strong analytical, communication, and time management skills
Key Responsibilities
  • Monitor daily cash positions across multiple banks and perform bank reconciliations
  • Track bank facilities, including loans, LCs, and LGs
  • Review collections and ensure daily branch deposits are reconciled
  • Prepare payment schedules and rolling weekly/monthly cash flow forecasts
  • Analyze cash flow forecast versus actual results and identify variances
  • Coordinate with AR, AP, and FP&A teams to support cash flow and working capital management
  • Monitor collections and ensure accurate ERP posting
  • Manage credit, fleet, and property insurance
  • Identify financial and operational risks and maintain the risk register
  • Prepare reports covering cash position, cash flow, collections, bank facility usage, insurance, and risk management
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