Job Location: Saudi Arabia
Company: Our client, a well-known bank is looking for a Head of Capital & Liquidity Management to join their dynamic team at Riyadh. The ideal candidate will be responsible for the firm's treasury & funding, its capital allocation & investment management execution and reporting, the financial control of Bahrain branch and the financial control of the firm's staff costs.
• Own the branch management and financial control roles.
• Overlook the company's treasury and funding activities, including cash flows reporting and analysis.
• Manage the company's capital policy, including dividend payout and reserve planning.
• Oversee the preparation of all financial statements for the registered entities outside Saudi, and liaise with their external auditors as
required.
• Manage the valuations and ongoing performance reporting of proprietary investments, including associates, subsidiaries and Joint Venture partners.
• Maintain and enhance the firm's accounting system and interfaces as well as manage all budgeting and accounting related activities for the branch.
Requirements:
• University degree from a recognized educational institution, ideally an Industry-recognized finance / accounting qualification.
• Over 7-8 years of relevant experience in Capital/Liquidity Management and Financial Accounting in an investment bank in the GCC.
• Strong knowledge and understanding of local and international regulations and standards.
• Fluent in English as well as Arabic.
• Must be a GCC national.
Please send Word CVs and cover letters to
Only short listed candidates will be contacted

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