- Immediately required for the position of (Head of Treasury and Investment) in a holding company of various commercial and industrial activities in north of Riyadh
- Management of collection and cash flow and guidance and distribution of assets and financial resources of the company and its subsidiaries on the various production, marketing and administrative processes.
- Conducting the analysis and evaluation of the financial and credit situation of the company and participate in financial planning and evaluation of the activities of strategic alliances and mergers and acquisitions and offering.
- Developing and developing investment plans and methods, preparing budgets and feasibility studies for existing and new projects, evaluating and analyzing investment opportunities, possible expansions, studying surrounding risks, managing the necessary financing, and proposing projects for investment, investors and financiers.
- Managing the joint relations between the company and the banking and financial institutions to provide finance, credit and facilities.
- Submit necessary periodic reports and other special reports and progress reports to the Director General of Finance.
Requirements:
Previous experience is required in the same tasks mentioned in the various companies business and industrial activities.
A professional certificate is required.
English proficiency
Age not exceeding 30 years maximum.
A transferable residence is required.
Non-smoker
Good behavior, style and handling
Good looking and tactful
Language requirements:
English-fluent
Employment type:
Full Time
Salary Range:
8,000 S.R.
Benefits and Other Informations:
- Friday and Saturday weekly leave
- 8 hours daily from Sunday to Thursday.
Basic salary of SR 8000
- Housing allowance 25% of the basic salary
- Transfer allowance of 10% or provide a car
- medical insurance