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Join a forward-thinking company as a Treasury and Risk Manager, where you'll play a pivotal role in optimising cash flow and securing financing opportunities. This exciting position involves managing banking relationships, developing treasury policies, and mitigating financial risks. You will collaborate with IT and finance teams to enhance treasury efficiency and reporting capabilities. If you have a strong background in project finance and risk management, this is a fantastic opportunity to contribute to a large-scale project in a dynamic environment.
Your new company
Hays are supporting a large-scale project who are looking for a Treasury and Risk Manager to join their growing team in King Abdullah Economic City, Saudi Arabia.
Your new role
As the Treasury and Risk Manager, you will be responsible for optimising cash flow and fund raising using different debt & equity structures. You will play a crucial role in securing financing opportunities, maintaining banking relationships and ensuring financial strategies align with the company's goals, as well as ensuring reporting and monitoring of company’s Risk Management frameworks. This will include:
What you'll need to succeed
What you'll get in return
Competitive salary package + benefits
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV.