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Treasury Analyst

UCC Holding

Riyadh

On-site

SAR 150,000 - 200,000

Full time

Today
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Job summary

A financial services organization in Riyadh is seeking a Treasury Analyst responsible for managing treasury operations and reporting directly to the Group Head of Treasury. The successful candidate will monitor cash flow, execute cash management activities, and manage banking relationships. A Bachelor's degree in Accounts and Finance is required, along with a minimum of 8 years of experience, 5 of which must be in a relevant role. Knowledge of GCC regulations is a plus.

Qualifications

  • Minimum 8 years working experience, with 5 years relevant experience.
  • Experience in GCC region is a plus.

Responsibilities

  • Monitor and manage the organization's cash flow to ensure liquidity.
  • Analyze daily cash positions and prepare cash flow projections.
  • Execute cash management activities such as wire transfers and borrowings.
  • Manage relationships with banks and negotiate banking services.
  • Analyze financial market trends and assess impacts on cash management.

Skills

Cash flow management
Financial analysis
Bank relationship management
Regulatory compliance

Education

Bachelor's Degree in Accounts and Finance
Job description

The Treasury Analyst is responsible for reporting and administration of the day to day treasury operations and reporting to the Group Head of Treasury. This position assists the Treasury team in executing all treasury activities, in the financial planning and analysis in the conduct of daily treasury activities, corporate cash management, credit administration, assists in the integration of treasury systems and associated projects to achieve strategic treasury workstreams and objectives.

  • Monitor and manage the organization's cash flow, ensuring sufficient liquidity to meet financial obligations and optimize cash utilization.
  • Analyze daily cash positions and forecasts, preparing cash flow projections and reports to support liquidity management and decision-making processes.
  • Execute cash management activities, including wire transfers, investments, and borrowings, in accordance with established policies and procedures.
  • Monitor bank account balances, reconciling bank statements, and identifying discrepancies or errors to ensure accuracy in cash management.
  • Manage relationships with banks and financial institutions, negotiating banking services, and optimizing banking structures to minimize costs and enhance efficiency.
  • Analyze financial market trends, interest rates, and currency exchange rates to assess potential impacts on the organization's cash management strategies.
  • Assist in the development and implementation of treasury policies, procedures, and controls to ensure compliance with regulatory requirements and internal governance standards.
  • Support treasury-related projects and initiatives, such as system implementations, process improvements, and bank relationship management.
  • Provide support to internal stakeholders, such as finance, accounting, and operations teams, on treasury-related matters and inquiries.
  • Stay informed about changes in treasury management best practices, financial regulations, and industry trends, and making recommendations for adjustments to treasury strategies and practices accordingly.
Job Experience

Minimum 8 year(s) working experience, 5 year(s) relevant working experience, 2 year(s) GCC is a plus

Education
  • Bachelor's Degree in Accounts and Finance
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