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Senior Treasury Analyst
full-timeSaudi Arabia

Summary

Location

Saudi Arabia

Type

full-time

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About this role

Job Summary

    The Senior Treasury Analyst develops and implements processes, systems and value-added analysis and reporting. This will include delivering on internal and external compliance requirements and analysis of liquidity, funding and interest rate risk management strategies.

Job Responsibilities 1

    Establish standards and processes to enhance receipts and disbursements mechanisms and to ensure accurate reporting of cash flows

    Prepare and ensure the accuracy of monthly and ad-hoc management reporting of the results of the financing facility and other working capital initiatives using dashboards and metrics

    Assist in developing strategic relationships with your business partners to help influence the right decisions.

    Conduct dive deep analysts, take the lead, and drive process improvements throughout the team

    Implement strong controls on the organization cash, develop robust mechanisms for ensuring control adherence, and be a strong proponent for banking controls globally.

    Develop reporting packages related to project status, banking partner SLAs, and KPI metrics that provide detailed visibility of treasury programs and initiatives.

    Ensure compliance with Treasury guidelines and policies including Banking Authority, Investments, and Foreign Exchange.

    Stay up-to-date with technology advancements through training and outside resources

Job Responsibilities 2

Additional Responsibilities 3

Job Knowledge & Skills

Advanced knowledge of treasury operations, including cash management, liquidity management, and risk management techniques.

Strong analytical skills are essential for analyzing financial data, conducting cash flow forecasting, and assessing liquidity needs to support strategic decision-making.

Proficiency in financial modeling and Excel is crucial for developing cash flow models, conducting scenario analysis, and evaluating the impact of financial decisions on the organization's liquidity position.

Excellent communication and interpersonal skills are vital for effectively liaising with internal stakeholders, external banks, and financial institutions to negotiate banking services and manage relationships.

Experience in treasury systems and technologies enables efficient management of treasury operations, including electronic funds transfers, cash pooling, and investment management.

ERP knowledge preferably SAP functional skills are a requirement to be successful in this role.

Job Experience

Minimum 8 year(s) working experience, 5 year(s) relevant working experience, 2 year (s) GCC is a plus

Competencies

Resilience
Quality
Leadership
Banking Relationships L3
Financial Control L3
Finance Strategy L3
Treasury Systems L3
Build High-Performing Teams
Agility
CTP Certified Treasury Professional L3
Provide Direction

Education

Bachelor's Degree in any related field

Other facts

Tech stack
Treasury Operations,Cash Management,Liquidity Management,Risk Management,Analytical Skills,Financial Modeling,Excel Proficiency,Communication Skills,Interpersonal Skills,Treasury Systems,ERP Knowledge,SAP Functional Skills,Process Improvements,Compliance,Banking Relationships,Financial Control

About Power International Holding

Power International Holding (PIH) is a diversified business conglomerate with global reach, structured into six core groups:

Energy, Concessions & Construction
Industries & Services
Telecommunication & Technology
Agriculture & Food Industries
Real Estate
Lifestyle: Hospitality, Entertainment & Catering

Our commitment to sustainable growth is reinforced by a structured approach to resource allocation and centralized functional support, enabling agility and continuous development across sectors. Each group operates with focused specialization while contributing to PIH’s overarching strategy of delivering long-term value.

Through a culture of excellence and collaboration, PIH harnesses the collective strength of its leadership teams, ensuring that each business flourishes while advancing economies and communities. This synergistic model allows PIH to maintain its distinctiveness as a group while driving sustained impact on both a local and global scale.

Team size: 10,001+ employees
LinkedIn: Visit
Industry: Holding Companies

What you'll do

  • The Senior Treasury Analyst is responsible for developing and implementing processes and systems for cash flow reporting and compliance. This role also involves enhancing disbursement mechanisms and driving process improvements within the treasury team.

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Frequently Asked Questions

What does a Senior Treasury Analyst do at Power International Holding?

As a Senior Treasury Analyst at Power International Holding, you will: the Senior Treasury Analyst is responsible for developing and implementing processes and systems for cash flow reporting and compliance. This role also involves enhancing disbursement mechanisms and driving process improvements within the treasury team..

Why join Power International Holding as a Senior Treasury Analyst?

Power International Holding is a leading Holding Companies company.

Is the Senior Treasury Analyst position at Power International Holding remote?

The Senior Treasury Analyst position at Power International Holding is based in Saudi Arabia, Saudi Arabia. Contact the company through Clera for specific work arrangement details.

How do I apply for the Senior Treasury Analyst position at Power International Holding?

You can apply for the Senior Treasury Analyst position at Power International Holding directly through Clera. Click the "Apply Now" button above to start your application. Clera's AI-powered platform will help match your profile with this opportunity and guide you through the application process. You can also learn more about Power International Holding on their website.