Senior Manager Corporate Treasury
الوصف الوظيفي
Senior Manager Corporate Treasury – Drive Financial Excellence at Riyadh Air
At Riyadh Air, we are pioneering a new era of aviation—one that redefines connectivity, innovation, and global leadership. As the Kingdom’s visionary national airline, we are committed to transforming Saudi Arabia into a premier aviation and trade hub, leveraging cutting-edge technology and strategic foresight to connect over 100 destinations worldwide. This is more than a career; it’s an opportunity to shape the future of flight and finance.
We are seeking a Senior Manager Corporate Treasury to spearhead our treasury strategy, ensuring financial resilience, optimizing liquidity, and empowering data-driven decision-making. In this high-impact leadership role, you will play a pivotal part in safeguarding our financial stability while driving operational excellence across treasury functions. Your expertise will be instrumental in positioning Riyadh Air as a leader in financial governance, risk management, and strategic financial planning.
Key Responsibilities
As the architect of our treasury strategy, your responsibilities will include:
- Strategic Treasury Leadership: Develop and execute comprehensive treasury strategies that align with Riyadh Air’s long-term business objectives, focusing on liquidity management, financial risk mitigation, and investment optimization. Your vision will ensure robust financial health and support confident, informed decision-making at the executive level.
- Risk Management and Hedging: Design and oversee hedging strategies across critical exposures, including foreign exchange, interest rates, fuel, commodities, liquidity, and counterparty risks. Leverage your expertise in derivatives and exposure analysis to safeguard the organization against market volatility while maximizing risk-adjusted returns.
- Cash and Funding Optimization: Lead cash forecasting, funding planning, and investment allocation to maintain optimal liquidity levels. Collaborate with financial institutions and banking partners to execute market strategies that enhance financial performance and operational efficiency.
- Treasury Technology and Automation: Drive the implementation and enhancement of treasury management systems, automation tools, and straight-through processing (STP) to streamline operations, reduce manual intervention, and improve accuracy. Ensure seamless integration with broader financial and operational frameworks.
- Governance, Compliance, and Reporting: Establish and enforce treasury policies, controls, and risk limits to uphold a robust governance framework. Ensure compliance with regulatory requirements, maintain valuation integrity, and deliver timely, accurate reporting to support audit readiness and executive oversight.
- Stakeholder Engagement and Leadership: Foster strong relationships with internal stakeholders, including finance, operations, and senior leadership, while representing Riyadh Air in external engagements with banks, financial institutions, and regulatory bodies. Mentor and develop your team to elevate treasury performance and cultivate a culture of excellence.
This role demands a blend of technical mastery and strategic insight, enabling you to navigate complexity with confidence and drive continuous improvement in treasury maturity. Your ability to translate financial data into actionable strategies will be critical in elevating Riyadh Air’s financial capabilities and positioning us for sustained success.
About You
We are looking for a seasoned professional with:
- Proven Expertise: A minimum of 8 years of progressive experience in corporate treasury, financial risk management, or related disciplines within a multinational or capital-intensive organization. Your background should reflect a track record of delivering measurable results in treasury strategy, risk mitigation, and financial optimization.
- Technical Proficiency: Deep knowledge of treasury management systems, advanced analytics, cash forecasting, investments, and counterparty management. Familiarity with derivatives, hedging instruments, and financial market dynamics is essential.
- Strategic Mindset: The ability to analyze complex financial scenarios, assess risks, and recommend data-driven solutions that align with business objectives. Your strategic judgment will be key in shaping policies that enhance financial resilience.
- Leadership and Collaboration: Strong leadership skills to mentor teams, drive operational excellence, and collaborate effectively with cross-functional stakeholders. Your ability to communicate insights clearly to senior leadership and governance committees will be instrumental in our success.
- Innovation and Adaptability: A forward-thinking approach to leveraging technology and best practices to modernize treasury operations. Your willingness to embrace change and drive continuous improvement will help us stay ahead in a dynamic industry.
This is your chance to own a transformative role at Riyadh Air, where your expertise will not only shape our financial future but also contribute to the broader vision of making Saudi Arabia a global aviation powerhouse. Join us in redefining the skies—and the standards of corporate treasury management.
Ready to take on this challenge? Submit your application and let us explore how your skills can elevate Riyadh Air to new heights.
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