Senior Treasury
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Alomar Holding Company is a leading Saudi-headquartered investment group specializing in real estate development, contracting, and asset management. As part of our continued growth, we are seeking a Senior Treasury Officer to join our Riyadh-based team.
This role is pivotal in ensuring robust treasury operations, effective cash management, and seamless coordination with banks and internal stakeholders. The Senior Treasury Officer will play a key role in optimizing cash flow, supporting financing activities, and maintaining compliance with regulatory and internal policies.
Key responsibilities include:
⢠Managing daily treasury operations and monitoring cash positions across multiple bank accounts
⢠Preparing daily, weekly, and monthly cash flow reports and short- to medium-term cash flow forecasts
⢠Overseeing bank balances, collections, payments, and funding requirements
⢠Coordinating with banks on transfers, financing facilities, guarantees, letters of credit, account documentation, and online banking access
⢠Preparing payment schedules and supporting prioritization of supplier, subcontractor, and project payments
⢠Reviewing payment requests for approvals and supporting documents; processing and coordinating bank transfers in line with internal policies
⢠Tracking loans, Murabaha facilities, repayment schedules, bank charges, and financing costs
⢠Maintaining treasury records and documentation, including facility agreements, guarantees, and bank files
⢠Supporting bank reconciliations with accounting and providing treasury reporting and cash/funding updates to management
⢠Ensuring compliance with internal approval matrix and supporting external audit requirements related to treasuryRequirements
Required Qualifications:
⢠Bachelorās degree in Finance, Accounting, Business Administration, or a related field
⢠5+ years of relevant experience in treasury, finance, banking, or cash management
⢠Hands-on experience managing treasury operations, cash management, bank coordination, and payment processing
⢠Proven ability to prepare cash flow reports and short- to medium-term cash flow forecasts
⢠Experience with financing facilities including loans, Murabaha, bank guarantees, and letters of credit
⢠Strong proficiency in Microsoft Excel and experience with ERP/accounting systems (Odoo, SAP, Oracle, or Microsoft Dynamics)
⢠Professional/business English proficiency
⢠Eligibility to work in Saudi Arabia (Saudi national or able to transfer iqama)
Preferred Qualifications:
⢠Treasury or finance experience in real estate, construction, or project-based companies
⢠Relevant professional certification such as SOCPA, CME, CTP, or CFA
⢠Experience coordinating with banks, finance, accounting, procurement, project teams, suppliers, and management
⢠Notice period of 30 days or less
⢠Experience using Odoo ERP systemBenefits
⢠Statutory health insurance coverage
⢠Pension scheme in accordance with Saudi regulations
⢠Paid annual leave and public holidays
⢠Professional development and training opportunities
⢠On-site work environment in Riyadh
⢠Supportive team culture and collaborative workplace
Requirements
- ā¢Bachelorās degree in Finance, Accounting, Business Administration, or related field
- ā¢5+ years of relevant experience in treasury, finance, banking, or cash management
- ā¢Hands-on experience managing treasury operations, cash management, bank coordination
- ā¢Proven ability to prepare cash flow reports and forecasts
- ā¢Experience with financing facilities (loans, Murabaha, guarantees, LCs)
- ā¢Strong proficiency in Microsoft Excel
- ā¢Experience with ERP/accounting systems (Odoo, SAP, Oracle, Microsoft Dynamics)
- ā¢Eligibility to work in Saudi Arabia
Nice to Have
- ā¢Treasury or finance experience in real estate, construction, or project-based companies
- ā¢Relevant professional certification (SOCPA, CME, CTP, or CFA)
- ā¢Experience coordinating with banks, finance, accounting, procurement, project teams, suppliers, and management
- ā¢Notice period of 30 days or less
- ā¢Experience using Odoo ERP system
Responsibilities
- ā¢Manage daily treasury operations and monitor cash positions
- ā¢Prepare daily, weekly, and monthly cash flow reports and forecasts
- ā¢Oversee bank balances, collections, payments, and funding requirements
- ā¢Coordinate with banks on transfers, financing facilities, guarantees, and letters of credit
- ā¢Prepare payment schedules and support prioritization of payments
- ā¢Track loans, Murabaha facilities, repayment schedules, and financing costs
- ā¢Maintain treasury records and documentation
- ā¢Support bank reconciliations and provide treasury reporting to management
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60 seconds. $3.99 one-time.
Alomar Holding Company is a diversified investment and development company. It operates across multiple sectors in Saudi Arabia, focusing on growth and expansion.
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