Senior Corporate Finance & Treasury Specialist

DEMA Energy | ديما للطاقة
الرياض, الرياض دوام كامل
نشر: 1448/4/3 | 2026/09/14 ينتهي: 1448/5/3 | 2026/10/14 ✨ وصف بالذكاء الاصطناعي
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الوصف الوظيفي

Senior Corporate Finance & Treasury Specialist – Strategic Leadership in Capital & Liquidity

Join our dynamic team in the energy and technology sector as a **Senior Corporate Finance & Treasury Specialist**, where you will play a pivotal role in shaping the financial future of a globally expanding organization. Reporting directly to the Chief Financial Officer (CFO), this position demands a strategic, results-driven professional with deep expertise in capital structuring, treasury management, and financial negotiations. You will be the driving force behind securing sustainable funding, optimizing liquidity, and fostering long-term financial resilience for our international operations.

In this high-impact role, you will leverage your financial acumen to navigate the complexities of the capital markets, ensuring our organization maintains robust financial health while seizing growth opportunities. Your leadership will be instrumental in forging strategic partnerships with financial institutions, private credit funds, and institutional investors—both within Saudi Arabia and the broader GCC region—to secure tailored funding solutions that align with our business objectives.

Key Responsibilities

As the architect of our debt and treasury strategy, your responsibilities will include:

  • Capital Structuring & Debt Management: Lead the end-to-end process of securing corporate funding, including term loans, working capital facilities, trade finance, and project financing. Design and negotiate credit agreements, term sheets, and facility documents to achieve optimal pricing, flexible covenants, and favorable terms while ensuring compliance with all financial obligations.
  • Strategic Relationship Building: Serve as the primary liaison between the company and key financial stakeholders, including Saudi and international banks, private credit funds, and institutional investors. Cultivate and maintain a strong network of banking and investment contacts to identify and pursue innovative funding opportunities.
  • High-Impact Financial Presentations: Develop and deliver compelling pitch decks, management presentations, and financing memorandums to secure support from prospective lenders and investors. Translate complex financial strategies into clear, persuasive narratives for executive leadership and external partners.
  • Treasury & Liquidity Optimization: Oversee short-term and long-term cash flow forecasting for a multi-entity international group, ensuring liquidity is aligned with strategic growth initiatives. Manage foreign exchange (FX) exposure and interest rate risks through proactive hedging strategies, while optimizing the capital structure to balance cost efficiency with operational flexibility.
  • Financial Modeling & Strategic Analysis: Build, maintain, and stress-test sophisticated financial models to support funding requests and demonstrate debt capacity to stakeholders. Collaborate closely with the accounting team to ensure financial activities are accurately reflected in financial statements and cash flow projections.

Qualifications & Requirements

We are seeking a distinguished finance professional with:

  • Education: A Bachelor’s degree in Finance, Economics, Business Administration, or a related quantitative field. An MBA is strongly preferred.
  • Experience: 7+ years of specialized experience in corporate finance, treasury, or investment banking, with a proven ability to independently close corporate debt facilities. Your track record should demonstrate a deep understanding of debt capital markets, credit analysis, and loan structuring.
  • Technical Expertise: Advanced proficiency in financial modeling (Excel), including the ability to construct three-statement models from scratch. Familiarity with treasury management systems and risk mitigation tools is a plus.
  • Communication & Negotiation: Exceptional skills in negotiation, presentation, and stakeholder management. You should excel at distilling intricate financial strategies into accessible narratives for both executive teams and external investors.
  • Network & Industry Knowledge: Established relationships with corporate banking divisions in Saudi Arabia and the GCC region, along with a keen understanding of local and international funding landscapes.

Preferred (Not Required): Professional designations such as Chartered Financial Analyst (CFA) or Certified Treasury Professional (CTP) will be viewed favorably.

This is an opportunity to make a lasting impact on the financial strategy of a forward-thinking organization. If you are a strategic thinker with a passion for capital markets and treasury management, we invite you to take the next step in your career with us.

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المصدر: لينكد إن ↗ • 19 مشاهدة

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