Group Treasury Manager (Contracting) Saudi National , Riyadh

Group Treasury Manager (Contracting) Saudi National , Riyadh

  • Posting Date: 24/06/2026
  • Ref: KSA-453
  • Position: Group Treasury Manager (Contracting) Saudi National , Riyadh
  • Location: KSA
  • City: Riyadh
  • Sector: Contracting and Construction
  • Years of Experience 15 plus
  • Qualification: BA Finance or Accounting
  • Salary: High Market Rate
  • Workdays: 5
  • Description:

    Overview

    Our client is a leading Mega company in the field of Contracting. We are seeking a highly seasoned, strategic, and analytical Group Treasury Manager to oversee the group's liquidity, funding strategies, and financial risk mitigation. Operating within a high-exposure contracting environment, this leadership role will drive complex banking relationships, optimize working capital, and safeguard financial health across all business entities.

    Key Responsibilities

    • Liquidity & Cash Management: Formulate and manage the group’s long-term cash flow forecasting, ensuring maximum liquidity efficiency across all project portfolios.

    • Banking & Corporate Relations: Build and maintain strategic partnerships with local and international financial institutions to secure competitive corporate facilities.

    • Project Financing & Guarantees: Manage trade finance operations, explicitly structuring Letter of Credits (LCs) and Letter of Guarantees (LGs) tailored for heavy contracting projects.

    • Risk & Hedging Strategies: Develop and implement risk management frameworks to mitigate foreign exchange (FX), interest rate, and commodity price volatilities.

    • Capital Allocation & Funding: Advise the executive team on optimal capital structures, facility distributions, and working capital optimization strategies.

    • Compliance & Internal Controls: Ensure treasury activities align strictly with international financial reporting standards, regulatory guidelines, and company policies.

    • Strategic Reporting: Provide comprehensive treasury performance analytics, risk assessments, and debt visibility metrics to the Group CFO.

    Job Requirements

    • Education: Minimum BA in Finance or Accounting.

    • Experience: 15+ years of extensive financial experience, with a solid background as a Treasury Manager or Director in large corporate setups.

    • Languages: Fluent in both written and spoken English and Arabic.

    • Working Schedule: 5 Days per week.

    • Hiring Parameters: Inside KSA only (Candidates must be currently based in Saudi Arabia).

    • Joining Timeline: Immediate or within a maximum of 30 days.

    • Compensation: High Market Rate (Competitive executive package).

    More


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