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JIGPC- Jazan Integrated Gasification and Power Company seeks a highly analytical Treasury & Cash Analyst to join our Finance team. The role focuses on liquidity management, cash flow forecasting, treasury operations, banking relationships, and risk mitigation.
Responsibilities include monitoring cash positions, preparing forecasts, managing payments, and maintaining banking partnerships. The candidate should have a finance-related bachelor’s degree and 3 years in treasury or related roles, with
We are seeking a highly analytical and detail-oriented Treasury & Cash Analyst to join our Finance team. The successful candidate will play a critical role in managing the company's liquidity, cash flow forecasting, treasury operations, banking relationships, and financial risk management.