Posted By
Posted in
Banking & Finance
Job Code
1538101
About the Role:
Key Responsibilities:
Treasury & Cash Flow Management
- Develop cash forecasting models to optimize working capital and manage cash reserves.
- Manage Letter of Credit (LC) utilization for trade financing and procurement.
- Implement currency risk management and hedging strategies.
Financial Reporting & Compliance
- Ensure adherence to IFRS standards and regulatory compliance.
- Lead financial reporting processes, budgeting, and variance analysis.
- Oversee funding strategies and capital allocation.
- Implement and optimize financial systems, including CAT systems, as required.
Manufacturing & Operational Finance
- Optimize supply chain financing and cost control measures.
- Align financial strategies with manufacturing operations and capital expenditures (CAPEX).
Qualifications & Experience:
Education:
- CPA, CFA, CA, or equivalent certification is preferred.
Experience:
- Strong expertise in treasury management, Letter of Credit (LC) utilization, and financial reporting.
- Experience in manufacturing finance, cost accounting, and capital expenditures.
- Understanding of financial risk management and working capital optimization.
- Willingness to work in a rotational model (Saudi Arabia & India).
Why Join?
- Work in a dynamic rotational model, gaining exposure in Saudi Arabia and India.
- Competitive compensation and executive-level benefits.
Application Process:
Three Box Solution is an equal-opportunity employer and encourages candidates from diverse backgrounds to apply.
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Posted By
Posted in
Banking & Finance
Job Code
1538101