Treasury Operations Specialist

SABIL | سابل

Riyadh

On-site

SAR 150,000 - 210,000

Full time

14 days+

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Job summary

SABIL | سابل is seeking a Treasury Operations professional in Riyadh to monitor daily cash positions, oversee payments, and support liquidity management. The role focuses on ensuring accurate treasury records, forecasting cash flow, and maintaining strong banking relationships under treasury policies.

The candidate will work with the Treasury Operations Manager, coordinate with internal stakeholders, and contribute to risk monitoring, regulatory compliance, and process improvements to enhance

Qualifications

  • Minimum of 3 years of experience is required.
  • Bachelor’s degree in finance, Accounting, or any business or finance-related discipline.
  • Certifications (e.g., CTP or similar) are advantageous.

Responsibilities

  • Monitor daily cash positions and manage liquidity to support working capital.
  • Oversee cash disbursements and cash concentration per approved protocols.
  • Perform bank reconciliations and resolve discrepancies promptly.
  • Develop and maintain cash flow forecasting models for liquidity planning.
  • Coordinate with banks and partners to support treasury activities.
  • Support treasury policy, controls, and regulatory compliance.
  • Assess treasury risks (interest, FX, liquidity) and report insights.
  • Assist with treasury risk hedging strategies and instruments.

Education

Bachelor’s degree in finance, Accounting, or any business or finance-related discipline
Certifications (e.g., CTP) advantageous

Job description

Support and execute Treasury Operations activities by monitoring daily cash positions, managing payment processing workflows, performing timely bank reconciliations, maintaining accurate treasury records, and supporting cash flow forecasting and liquidity management activities. Ensure compliance with treasury policies, procedures, banking requirements, and internal control frameworks.

The role contributes to effective cash management, accurate treasury reporting, operational efficiency, and continuous improvement of treasury processes through close coordination with the Treasury Operations Manager, internal stakeholders, and banking partners.

Key Responsibilities:
Treasury Operations
  • Cash & Liquidity Management

Monitor and optimize daily cash positions and liquidity requirements to support effective working capital management, ensuring funds are consistently available to meet operational needs.

  • Payments & Disbursements

Execute and oversee cash disbursement activities and cash concentration processes, ensuring accurate fund utilization, strict adherence to approved payment protocols, and full compliance with treasury controls.

Perform bank account reconciliations, investigate discrepancies, and ensure timely resolution of outstanding items to maintain the accuracy and integrity of all treasury records.

  • Cash Flow Forecasting

Maintain and enhance cash flow forecasting models by analyzing cash inflows and outflows, supporting accurate liquidity planning and informed treasury decision-making.

  • Process & Workflow Management

Manage payment workflow processes and lead continuous improvement initiatives to enhance operational efficiency, strengthen internal controls, and streamline treasury functions.

  • Banking Relationships

Coordinate with banking partners and financial institutions to support daily treasury activities, resolve operational matters, and sustain effective banking relationships under the guidance of the Treasury Operations Manager.

  • Policy & Compliance

Support the development, implementation, and ongoing improvement of treasury policies, procedures, and internal controls, ensuring full compliance with regulatory requirements, governance standards, and organizational objectives.

Evaluate and support the implementation of treasury technology solutions and process automation initiatives to improve operational efficiency, reporting accuracy, and overall treasury effectiveness.

  • Monitor and analyze key treasury-related financial risks, including interest rate exposure, foreign currency exposure, and liquidity risks, providing relevant analysis and insights to support effective risk identification and mitigation decisions.
  • Support the development and implementation of treasury risk mitigation strategies and financial instruments, including appropriate hedging and liquidity management approaches, ensuring alignment with treasury policies, risk frameworks, and business objectives.
  • Maintain visibility over treasury risk exposures and related controls, supporting accurate reporting, compliance with internal risk management procedures, and timely escalation of potential risks to the Treasury Operations Manager.
Financial Compliance and Regulation:
  • Ensure adherence to applicable financial regulations, banking requirements, industry standards, and internal treasury policies, maintaining awareness of regulatory changes and assessing their potential impact on treasury operations.
  • Execute and monitor end-to-end payment processes for suppliers, employees, and other stakeholders, ensuring accuracy, timely settlement, proper authorization, and compliance with approved payment controls and governance requirements.
  • Maintain appropriate documentation, audit trails, and supporting records for treasury transactions, supporting internal reviews, audits, and compliance assessments in coordination with the Treasury Operations Manager.
Qualifications/Requirements
Knowledge and Experience
  • Minimum of 3 years of experience is required.
Education
  • Bachelor’s degree in finance, Accounting, or any business or finance-related discipline.
  • Certifications (e.g., CTP or similar) are considered advantageous.
Equivalent
  • Minimum of 6 years of experience is required.
  • Diploma’s degree in Finance, Accounting, or any business or finance-related discipline. (Should be at least 2 years.)
  • Certifications (e.g., CTP or similar) are considered advantageous.
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