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سبيماكو الدوائية تعلن عن وظيفة أخصائي خزينة في الرياض

Treasury Corporate, Specialist
🕒 نُشرت: (منذ شهر) 📍 الرياض وظائف المالية والمحاسبة

تفاصيل الوظيفة

تعلن شركة سبيماكو الدوائية (SPIMACO) عن توفر وظيفة أخصائي خزانة (Treasury Corporate, Specialist) في الرياض. نحن نؤمن بأن التنوع هو قوتنا والشمولية ثقافتنا، ونلتزم بتوفير فرص متكافئة للجميع.

المهام والمسؤوليات

  • تحليل الأوضاع النقدية للشركة لدعم تخطيط السيولة وإدارة الأموال بفعالية.
  • تنفيذ معاملات الخزانة مع ضمان الدقة والترخيص والامتثال للإجراءات المالية المعتمدة.
  • مراقبة التدفقات النقدية اليومية والأرصدة البنكية لتحديد احتياجات التمويل والفائض النقدي.
  • إعداد تقارير الخزانة والتنبؤات النقدية لدعم التخطيط المالي واتخاذ القرارات الإدارية.
  • الحفاظ على السجلات البنكية ووثائق المعاملات لضمان معلومات خزانة دقيقة وكاملة.
  • تسوية معاملات الخزانة والحسابات البنكية لتحديد الفروقات المالية وحلها فوراً.
  • دعم الأنشطة البنكية بما في ذلك المدفوعات والتحويلات والودائع وإدارة حسابات الشركة.
  • تحليل بيانات الخزانة لدعم إدارة السيولة والأنشطة التمويلية ومبادرات تحسين النقد.
  • تقييم التعرض لمخاطر العملات الأجنبية ودعم مبادرات تخفيف المخاطر عند الحاجة.
  • تنفيذ ومراقبة أدوات التمويل التجاري مثل خطابات الاعتماد والضمانات وخطابات الاعتماد الاحتياطية.
  • البحث في اتجاهات السوق والتطورات المصرفية لدعم تحسين أداء الخزانة.

الشروط والمتطلبات

  • درجة البكالوريوس في مجال ذي صلة.
  • خبرة من 0 إلى 3 سنوات.

المهارات المطلوبة

  • إجادة اللغة الإنجليزية (مطلوب).
  • إجادة اللغة العربية (يفضل).
عرض النص الأصلي للإعلان

At SPIMACO, we believe that diversity is our strength and inclusion is our culture. We are committed to providing equal opportunities for all, creating a workplace where everyone can succeed.
As part of our People & Culture vision, we foster an environment built on respect, fairness, and inclusion. We celebrate the different perspectives, backgrounds, and experiences that make us more innovative and empower every team member to learn, grow, and make an impact. 
Our commitment is to empower every individual to reach their full potential and contribute to our mission of improving lives through innovation and excellence in the pharmaceutical industry. Together, we ensure a workplace where everyone feels respected, heard, and inspired to make a difference.

 

Main Purpose of Job :

Utilize specialized skills to bolster departmental and organizational objectives. Engage in strategic projects, imparting expertise to foster innovation and effectiveness. 

 

Strategic Responsibilities  : 

  • Apply specialized knowledge to support strategic objectives.
  • Participate in the development and execution of specialized projects.
  • Collaborate with team members and share expertise.
  • Contribute to continuous improvement within the specialized area.
  • Report on specialized activities and their alignment with strategic goals.

 

Functional Responsibilities : 

  • Analyze corporate cash positions to support liquidity planning and effective fund utilization.
  • Execute treasury transactions while ensuring accuracy, authorization, and compliance with approved financial procedures.
  • Monitor daily cash flows and bank balances to identify funding requirements and cash surpluses.
  • Prepare treasury reports and cash forecasts to support financial planning and management decision-making.
  • Maintain banking records and transaction documentation to ensure accurate and complete treasury information.
  • Reconcile treasury transactions and bank accounts to identify and promptly resolve financial discrepancies.
  • Support banking activities, including payments, transfers, deposits, and corporate account administration.
  • Analyze treasury data to support liquidity management, financing activities, and cash optimization initiatives.

 

Qualifications & Experience  : 

Required Qualification: Bachelor’s Degree in relevant field.

Required 0-3 Experience. 

Language:

Required: English - proficient

Preferred: Arabic - proficient

At SPIMACO, we believe that diversity is our strength and inclusion is our culture. We are committed to providing equal opportunities for all, creating a workplace where everyone can succeed.
As part of our People & Culture vision, we foster an environment built on respect, fairness, and inclusion. We celebrate the different perspectives, backgrounds, and experiences that make us more innovative and empower every team member to learn, grow, and make an impact. 
Our commitment is to empower every individual to reach their full potential and contribute to our mission of improving lives through innovation and excellence in the pharmaceutical industry. Together, we ensure a workplace where everyone feels respected, heard, and inspired to make a difference.

 

Main Purpose of Job :

Utilize specialized skills to bolster departmental and organizational objectives. Engage in strategic projects, imparting expertise to foster innovation and effectiveness. 

 

Strategic Responsibilities  : 

  • Apply specialized knowledge to support strategic objectives.
  • Participate in the development and execution of specialized projects.
  • Collaborate with team members and share expertise.
  • Contribute to continuous improvement within the specialized area.
  • Report on specialized activities and their alignment with strategic goals.

 

Functional Responsibilities : 

  • Analyze daily cash positions to support liquidity management and funding requirements.

  • Monitor bank account activities to ensure accurate recording and timely reconciliations.

  • Prepare cash flow forecasts to support financial planning and treasury decision-making.

  • Execute treasury transactions in accordance with approved policies and internal controls.
  • Maintain banking relationships and coordinate routine communications regarding treasury operations.
  • Assess financing requirements and provide supporting analyses for funding activities.
  • Document treasury transactions and records to ensure audit readiness and compliance.
  • Evaluate foreign exchange exposures and support risk mitigation initiatives when required.
  • Comply with treasury policies, regulatory requirements, and corporate governance standards.
  • Execute and monitor trade finance instruments, including LCs, guarantees, and SBLCs.
  • Research market trends and banking developments to support treasury performance improvements.

 

Qualifications & Experience  : 

Required Qualification: Bachelor’s Degree in relevant field.

Required 0-3 Experience. 

Language:

Required: English - proficient

Preferred: Arabic - proficient

المصدر: الموقع الرسمي للجهة - أُضيفت للموقع في 6 أكتوبر 2026
رقم الإعلان لدى المصدر: 1368379523