Key Responsibilities
- Manage and monitor the organization's cash flow and liquidity positions.
- Develop and execute investment strategies aligned with Alkaffary Group's financial goals.
- Prepare financial forecasts and reports to guide management decisions.
- Oversee compliance with financial regulations, policies, and best practices.
- Collaborate with banks and other financial institutions for funding and investment purposes.
- Conduct risk assessments and develop strategies to mitigate financial risks.
- Support the budgeting process and ensure financial sustainability across projects.
\n - Bachelor's degree in Finance, Business Administration, or a related field; professional certification (CFA, CPA) is a plus.
- At least 5 years of experience in treasury management or similar financial roles.
- Strong understanding of financial instruments, cash management, and investment analysis.
- Excellent analytical, problem-solving, and decision-making abilities.
- Strong communication and leadership skills.
- Proficient in financial modeling and forecasting techniques.
- Advanced skills in Microsoft Excel and financial management software.
","identifier":{"@type":"PropertyValue","name":"id","value":"feff0b24-00c1-4735-818f-a273928e3a1d"},"datePosted":"2025-01-30T00:00:00.000Z","employmentType":"FULL_TIME","hiringOrganization":{"@type":"Organization","name":"Alkaffary Group","logo":"https://workablehr.s3.amazonaws.com/uploads/account/logo/682606/logo","url":"https://kaffary.com/","sameAs":"https://jobs.workable.com/company/fWdW1TAPYsJ8qryKNT4AfF/jobs-at-alkaffary-group"},"jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Abha","addressRegion":"Aseer Province","addressCountry":"Saudi Arabia"}},"directApply":true,"id":"feff0b24-00c1-4735-818f-a273928e3a1d","requirementsSection":" - Bachelor's degree in Finance, Business Administration, or a related field; professional certification (CFA, CPA) is a plus.
- At least 5 years of experience in treasury management or similar financial roles.
- Strong understanding of financial instruments, cash management, and investment analysis.
- Excellent analytical, problem-solving, and decision-making abilities.
- Strong communication and leadership skills.
- Proficient in financial modeling and forecasting techniques.
- Advanced skills in Microsoft Excel and financial management software.
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