This job posting has expired

Expired on April 9, 2026

Snr / Specialist Finance

Full-time
Treasury ManagementCash Flow PlanningFinancial ModelingRisk ManagementEnglishArabic

Job Description

Execute assigned Cash Planning and Forecasting processes at Majis, acting as custodian of Treasury operations. Prepares / consolidates diverse Treasury operations tasks such as: cash forecasts, daily cash positioning, electronic treasury payments, and maintenance of a treasury workstation.

Responsibilities

  • Execute Cash Planning and Forecasting processes
  • Prepare cash forecasts and daily cash positioning
  • Maintain banking services and relationships
  • Manage daily, weekly, and monthly cash flow
  • Oversee treasury operations including cash pooling and intercompany lending
  • Develop long-term financial strategy
  • Administer insurance policies

Qualifications

  • Bachelor's degree in accounting, Business Accounting, or Finance.
  • Chartered Certificate (CMA, CIMA, CPA, CAA, etc.) or MBA preferred.
  • 5-8 years of experience.

Job Information

Posted

February 8, 2026

Experience Level

senior level

Status

Expired