Treasury Lead

Syarah

Riyadh

On-site

SAR 300,000 - 520,000

Full time

33 hours ago
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Job summary

Syarah, a leading automotive e-commerce platform, is seeking a Treasury Leader in Riyadh to manage daily treasury operations, optimize cash flow, and ensure accurate reconciliations. You will work closely with banks and internal stakeholders to maintain strong cash governance.

The role requires a Bachelor’s degree in Accounting or Finance and 5+ years in treasury or cash management, with ERP experience. You will oversee payments, liquidity planning, and compliance with company policies.

Qualifications

  • Bachelor's degree in Accounting, Finance, or a related field.
  • 5+ years of experience in treasury or cash management roles.
  • Strong understanding of banking operations and cash flow management.
  • Excellent analytical and problem-solving skills.
  • Strong communication and stakeholder management abilities; experience with ERP and banking systems is preferred.

Responsibilities

  • Oversee daily bank reconciliations and ensure accuracy of cash balances
  • Manage daily cash flow planning and liquidity requirements
  • Supervise and control all inward and outward payment processes
  • Follow up with internal departments to ensure timely payments and collections
  • Maintain effective communication with banks and external financial institutions
  • Monitor treasury activities to ensure compliance with company policies and controls

Skills

Banking operations
Cash flow management
Analytical and problem-solving
Communication & stakeholder mgmt

Education

Bachelor's degree in Accounting or Finance

Tools

ERP systems
Banking software

Job description

Syarah is a leading e-commerce platform in the automotive sector, transforming the car buying experience by offering a seamless, transparent, and fully digital journey. The company is committed to innovation, operational excellence, and delivering exceptional customer service across its markets.

Job Summary

The Treasury Leader is responsible for managing the company's daily treasury operations, ensuring effective cash flow management, accurate bank reconciliations, and smooth execution of all inward and outward payments while maintaining strong communication with banks and internal stakeholders.

Key Responsibilities
  • Oversee daily bank reconciliations and ensure accuracy of cash balances
  • Manage daily cash flow planning and liquidity requirements
  • Supervise and control all inward and outward payment processes
  • Follow up with internal departments to ensure timely payments and collections
  • Maintain effective communication with banks and external financial institutions
  • Monitor treasury activities to ensure compliance with company policies and controls
Requirements
  • Bachelor's degree in Accounting, Finance, or a related field
  • 5+ years of experience in treasury or cash management roles
  • Strong understanding of banking operations and cash flow management
  • Excellent analytical and problem-solving skills
  • Strong communication and stakeholder management abilitiesExperience with ERP and banking systems is preferred
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