Join Qiddiya Investment Company as a Manager - Treasury, where you will play a vital role in overseeing our treasury operations and ensuring the financial security of our innovative entertainment and cultural projects in Saudi Arabia. In this capacity, you will manage cash flow, funding strategies, and risk assessments to support the company's strategic objectives.
Key Responsibilities
- Oversee daily treasury operations, including cash management, liquidity planning, and short-term funding strategies.
- Develop cash flow forecasts and monitor liquidity positions to ensure adequate funding for operational needs.
- Manage banking relationships, negotiate terms, and ensure effective execution of financial transactions.
- Perform financial risk analysis related to interest rates, foreign exchange, and investment portfolios.
- Implement and maintain treasury policies and procedures to optimize financial performance and compliance.
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