Senior Treasury Accountant
- الرياض
- دائم
- دوام كامل
- Monitor and manage daily cash positions across bank accounts to ensure sufficient liquidity for operational and project requirements.
- Prepare daily, weekly, and monthly cash flow forecasts aligned with production, procurement, and project payment schedules.
- Optimize cash utilization and maintain adequate working capital for manufacturing operations.
- Coordinate fund transfers between accounts and entities when required.
- Manage relationships with banks and financial institutions.
- Handle banking transactions including LCs (Letters of Credit), LGs (Letters of Guarantee), bank transfers, and loan documentation.
- Monitor bank facilities, credit lines, and financing arrangements related to project and operational funding.
- Ensure timely processing of payments, collections, and bank reconciliations.
- Cash position reports
- Cash flow forecast vs actual analysis
- Bank facility utilization reports
- Debt and financing schedules
- Ensure treasury activities comply with internal controls, company policies, and regulatory requirements.
- Monitor compliance with banking covenants and financing agreements.
- Support internal and external audit processes related to treasury activities.
- Collaborate with procurement, project management, accounts payable, and accounts receivable teams to align cash flow with operational needs.
- Support finance management in working capital optimization and funding strategies.
- Participate in ERP treasury modules and system improvements.
Bayt