القدية تعلن عن وظيفة مدير مالي - ضيافة في الرياض
Director - Finance. (Hospitality) SN7
🏢 القدية (Qiddiya | القدية)
تفاصيل الوظيفة
تعلن شركة القدية عن توفر وظيفة مدير مالي للمجموعة (قطاع الضيافة) في الرياض. سيعمل المرشح كشريك استراتيجي للإدارة ويمتلك خبرة واسعة في الإدارة المالية للفنادق.
المهام والمسؤوليات
- القيادة المالية الاستراتيجية: تطوير وتنفيذ استراتيجية مالية للمجموعة بالتوافق مع أهداف الملاك ومعايير العلامات التجارية، وتقديم المشورة للإدارة العليا.
- إدارة التمويل قبل الافتتاح: قيادة الأنشطة المالية قبل الافتتاح، وإعداد الميزانيات (POB)، وإنشاء الأنظمة المحاسبية والضوابط.
- التخطيط والتحليل المالي: إعداد الميزانيات السنوية والتوقعات، وتحليل الإيرادات والمصروفات، وإعداد دراسات الجدوى.
- إدارة التدفقات النقدية والخزينة: تطوير توقعات التدفق النقدي، مراقبة رأس المال العامل، إدارة الأنشطة المصرفية والعلاقات البنكية.
- المحاسبة والتقارير والحوكمة: الإشراف على المحاسبة والتقارير المالية والتدقيق والامتثال، وضمان دقة السجلات المالية.
- المشتريات ومراقبة التكاليف: تنفيذ إجراءات الرقابة المالية على المشتريات والعقود، دفع مبادرات تحسين التكاليف.
- دعم الملاك: العمل كشريك مالي رئيسي للملاك، إعداد تقارير الملاك وتوقعات التدفق النقدي، دعم تحليل الاستثمارات.
- قيادة الفريق وتطوير المواهب: بناء وقيادة فرق مالية عالية الأداء، وضع خطط التعاقب والتدريب.
الشروط والمتطلبات
- خبرة قيادية مالية مثبتة في الفنادق أو محافظ الضيافة أو مشاريع التطوير متعددة الاستخدامات.
- خبرة قوية في مرحلة ما قبل الافتتاح (pre-opening) تشمل إعداد الميزانيات وأنظمة المحاسبة والجاهزية التشغيلية.
- خبرة في إعداد ميزانيات الفنادق وخطط الأعمال طويلة المدى ونماذج التدفقات النقدية.
- فهم عميق لمالية الفنادق واتفاقيات الإدارة ومتطلبات تقارير الملاك.
- القدرة على تحويل التحليل المالي إلى توصيات تشغيلية واستراتيجية.
- مهارات قيادية قوية واتصال وتأثير.
- درجة البكالوريوس في المالية أو المحاسبة أو الاقتصاد أو إدارة الأعمال أو ما يعادلها.
- يفضل حاصل على شهادة مهنية: CPA, CA, ACCA, CMA, CFA أو ما يعادلها.
- خبرة لا تقل عن 10 سنوات في مجال المالية والمحاسبة مع تدرج وظيفي.
- خبرة لا تقل عن 5 سنوات في دور مدير مالي (Director of Finance) أو قيادة مالية مماثلة.
- خبرة سابقة في قطاع الضيافة مطلوبة.
- يفضل خبرة مالية متعددة العقارات (multi-property) أو ضمن مجموعة (cluster).
- خبرة مثبتة في مرحلة ما قبل الافتتاح للفنادق مرغوبة بشدة.
عرض النص الأصلي للإعلان
The Cluster Director of Finance is a key member of the cluster leadership team, responsible for
overseeing all finance, accounting, treasury, procurement controls, financial planning, reporting, and
governance functions across multiple hotels within the portfolio.
Reporting to the Cluster General Manager, this role serves as a strategic business partner to
ownership and hotel leadership teams. The Cluster Director of Finance will play a critical role
throughout the pre-opening, opening, stabilization, and operational phases of the hotels, ensuring
sound financial management, strong governance, effective cash flow planning, and long-term value
creation.
This role combines commercial acumen, financial stewardship, and project finance expertise to
support a portfolio of hotels with different positioning, customer segments, and operating models.
The successful candidate will partner closely with ownership and hotel leadership to establish robust
financial processes, drive profitability, manage risk, and support strategic decision-making across the
portfolio.
Key Responsibilities
Strategic Financial Leadership
Pre-Opening Finance Management
Owner Support
The Ideal Candidate
The successful candidate will be a commercially minded finance leader with a strong track record of
supporting hotel openings, financial planning, governance, and portfolio performance.
You will bring:
overseeing all finance, accounting, treasury, procurement controls, financial planning, reporting, and
governance functions across multiple hotels within the portfolio.
Reporting to the Cluster General Manager, this role serves as a strategic business partner to
ownership and hotel leadership teams. The Cluster Director of Finance will play a critical role
throughout the pre-opening, opening, stabilization, and operational phases of the hotels, ensuring
sound financial management, strong governance, effective cash flow planning, and long-term value
creation.
This role combines commercial acumen, financial stewardship, and project finance expertise to
support a portfolio of hotels with different positioning, customer segments, and operating models.
The successful candidate will partner closely with ownership and hotel leadership to establish robust
financial processes, drive profitability, manage risk, and support strategic decision-making across the
portfolio.
Key Responsibilities
Strategic Financial Leadership
- Develop and execute a cluster-wide financial strategy aligned with ownership objectives,
- Serve as a strategic advisor to the Cluster General Manager and hotel leadership teams on
- Support business planning, investment decisions, asset enhancement initiatives, and
- Establish financial governance frameworks and performance measurement systems for all
- Drive a culture of financial accountability, transparency, and commercial awareness
Pre-Opening Finance Management
- Lead all finance-related pre-opening activities across the hotel portfolio
- Develop and manage the Finance Pre-Opening Critical Path and readiness plan
- Prepare, review, and manage Pre-Opening Budgets (POB) for all hotels within the cluster
- Monitor pre-opening expenditures to ensure spending remains within approved budgets
- Establish accounting structures, chart of accounts, financial controls, approval matrices, and
- Implement finance systems, purchasing controls, treasury processes, and operational
- Support operational readiness reviews, opening audits, and transition planning activities
- Lead the preparation of annual budgets, business plans, forecasts, and long-range financial
- Consolidate financial planning across multiple hotels and operating entities
- Analyze revenue, operating expenses, labor costs, departmental performance, and
- Prepare business cases and financial evaluations for operational initiatives and investment
- Support ownership with financial insights and performance analysis
- Identify opportunities to improve profitability, asset returns, and operational efficiencies
- Develop and manage cash flow forecasts across the hotel portfolio
- Monitor working capital requirements from pre-opening through stabilization
- Support funding requests and owner capital calls where necessary
- Manage treasury activities, banking relationships, and cash management processes
- Monitor accounts receivable, accounts payable, inventory levels, and cash conversion cycles
- Ensure appropriate liquidity is maintained to support business operations
- Oversee all accounting, financial reporting, audit, tax, compliance, and internal control
- Ensure accurate and timely monthly, quarterly, and annual financial reporting
- Establish strong financial control environments across all properties
- Ensure compliance with corporate policies, operator standards, statutory requirements, and
- Manage internal and external audits and ensure timely resolution of audit findings
- Protect the integrity and accuracy of financial records
- Implement financial control procedures for procurement, contracts, purchasing, and
- Monitor procurement spend and ensure purchasing activities align with approved budgets
- Drive cost optimization initiatives while maintaining operational effectiveness
- Support contract reviews, tender evaluations, and supplier negotiations from a financial
Owner Support
- Act as the primary finance business partner for ownership
- Prepare owner reports, cash flow forecasts, and performance updates
- Support owner reviews, investment analysis, and value enhancement initiatives
- Provide financial recommendations related to capital projects, staffing plans, commercial
- Support stabilization planning and long-term asset value optimization
- Build and lead high-performing finance and accounting teams across the hotel portfolio
- Develop succession plans and finance talent pipelines
- Establish training and development programmes to strengthen financial capabilities
- Promote collaboration between finance, operations, commercial teams, and ownership
- Foster a culture of accountability, continuous improvement, and business partnership
The Ideal Candidate
The successful candidate will be a commercially minded finance leader with a strong track record of
supporting hotel openings, financial planning, governance, and portfolio performance.
You will bring:
- Proven finance leadership experience within hotels, hospitality portfolios, mixed-use
- Strong pre-opening experience including POB preparation, financial system implementation,
- Experience developing hotel budgets, long-term business plans, forecasts, and cash flow
- Strong understanding of hotel finance, management agreements, owner reporting
- Experience supporting working capital planning, funding requests, and treasury management
- Strong knowledge of financial controls, accounting standards, audits, tax compliance, and
- Demonstrated ability to convert financial analysis into operational and strategic
- Strong leadership, communication, and influencing skills
- Bachelor's Degree in Finance, Accounting, Economics, Business Administration, or a related
- CPA, CA, ACCA, CMA, CFA, or equivalent professional qualification preferred
- Minimum 10 years of progressive finance and accounting experience
- Minimum 5 years in a Director of Finance, Cluster Finance, or senior finance leadership role
- Previous hospitality experience required
- Multi-property or cluster finance experience preferred
- Proven pre-opening hotel experience strongly preferred
المصدر: LinkedIn - أُضيفت للموقع في 29 سبتمبر 2026
رقم الإعلان لدى المصدر: 4473203101
رقم الإعلان لدى المصدر: 4473203101