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Treasury Director

Antal International

Makkah Al Mukarramah

On-site

SAR 300,000 - 400,000

Full time

Today
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Job summary

A global recruitment agency based in Saudi Arabia is looking for a seasoned Treasury Executive to lead cash and liquidity management, develop treasury strategies, and oversee funding and risk management. The ideal candidate has 12–18 years of experience in finance, preferably within automotive or real estate, and holds advanced financial qualifications. Strong leadership, analytical skills, and effective stakeholder engagement are essential for this role.

Qualifications

  • 12–18 years of treasury/finance experience, with at least 5 years in a senior leadership role.
  • Experience in holding companies or sectors like automotive and real estate is highly valued.
  • Strong track record in cash management, debt financing, and risk management.

Responsibilities

  • Develop and implement group-wide treasury policies and governance frameworks.
  • Monitor daily cash positions and ensure efficient use of surplus funds.
  • Identify, monitor, and hedge currency and interest rate risks.
  • Build relationships with banks and regulate financial negotiations.

Skills

Treasury and liquidity management expertise
Strong negotiation and stakeholder engagement skills
Analytical and financial modeling skills
Risk management and compliance acumen
Leadership and team development capabilities

Education

Bachelor’s degree in Finance, Accounting, or Economics
MBA preferred
Professional qualifications: CFA, CTP or ACT

Tools

Treasury management systems
ERP systems
Financial analytics platforms
Job description
Key Responsibilities
  • Treasury Strategy & Governance
    • Develop and implement group-wide treasury policies, procedures, and governance frameworks.

    • Define short- and long-term liquidity management strategies aligned with business objectives.

    • Ensure compliance with regulatory, tax, and financial reporting requirements.

    • Act as the subject-matter expert for treasury issues at the Group level.

  • Cash & Liquidity Management
    • Monitor daily cash positions and ensure efficient use of surplus funds.

    • Optimize working capital across automotive, real estate, and other subsidiaries.

    • Manage intercompany cash pooling, lending, and settlements.

    • Forecast short- and long-term liquidity requirements.

  • Funding & Capital Structure
    • Lead debt financing, refinancing, and capital market transactions.

    • Negotiate loan agreements, covenants, and credit facilities with banks and institutions.

    • Optimize the Group’s capital structure to balance cost of capital with financial flexibility.

    • Advise senior management on funding options for new projects and expansions.

  • Risk Management & Investments
    • Identify, monitor, and hedge currency, interest rate, and credit risks.

    • Develop risk mitigation strategies for exposure in international operations.

    • Evaluate investment opportunities for surplus cash within approved risk parameters.

    • Oversee treasury-related insurance and guarantee programs.

  • Stakeholder & Relationship Management
    • Build strong relationships with banks, rating agencies, investors, and regulators.

    • Represent the company in high-level financial negotiations.

    • Collaborate with business units to align treasury decisions with operational needs.

  • Leadership & Systems
    • Lead, mentor, and develop a skilled treasury team.

    • Implement treasury management systems (TMS) and digital solutions to enhance efficiency.

    • Drive automation and analytics for real-time treasury insights.

Qualifications & Experience
  • Bachelor’s degree in Finance, Accounting, or Economics (MBA preferred).

  • Professional qualifications: CFA, CTP, or ACT (Association of Corporate Treasurers) desirable.

  • 12–18 years of treasury/finance experience, with at least 5 years in a senior leadership role.

  • Experience in holding companies, conglomerates, or sectors like automotive and real estate is highly valued.

  • Strong track record in cash management, debt financing, and risk management.

  • Familiarity with treasury management systems, ERP, and financial analytics platforms.

Skills & Competencies
  • Treasury and liquidity management expertise.

  • Deep understanding of capital markets, FX, and hedging strategies.

  • Strong negotiation and stakeholder engagement skills.

  • Risk management and compliance acumen.

  • Analytical and financial modeling skills.

  • Leadership and team development capabilities.

  • Clear communication and board-level reporting skills.

Key Internal & External Relationships
  • Internal: Managing Director – Finance, Group CFO, Business Unit CFOs, Internal Audit.

  • External: Banks, financial institutions, regulators, credit agencies, rating agencies, external auditors.

Performance Indicators (KPIs)
  • Group liquidity coverage and optimized cash flow.

  • Cost of debt and efficiency of capital structure.

  • Treasury risk exposure and mitigation effectiveness.

  • Strength of banking and investor relationships.

  • Implementation of treasury systems and process improvements.

  • Treasury team capability development.

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