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Sr Financial Analyst (Cash Mgmt & Investment Division)

12.00 to 15.00 Years   Saudi Arabia, Riyadh   11 Mar, 2024
Job LocationSaudi Arabia, Riyadh
EducationNot Mentioned
SalaryNot Mentioned
IndustryOther
Functional AreaNot Mentioned

Job Description

About our client:Our Client operates in the Oil and Energy industry, with its headquarters rooted strongly in Saudi Arabia. It has its branches spread to more than 50 countries, providing employment to more than 68,500 people all over the world. They fall under the Fortune 500 Companies. They are one of the world s largest oil producers. They are constantly growing by creating new technologies through its Research and Development efforts and branch into new business lines through Investments and Acquisitions.Responsibilities:Evaluate and drive continuous improvement of processes to preserve capital, assure liquidity and optimize return. Forecast monthly cash receipts and disbursements and identify daily excess cash for investmentExecute daily investment proposal and identify the optimal investment tenor based on the company s liquidity outlook and market environmentOptimize investment performance across different money market and fixed income investment instrumentsManage, monitor and report divisional performance against the Cash Forecasting Accuracy and Short-Term Investment Return key performance indicators. Develop on regular basis market analysis report on both global and local macro- economic outlookEnhance Cash forecasting process and accuracy level by working with internal and external counterpart. Assist in the setup, configuration and implementation of money market investment instrument in the Companys systemReview and propose changes ,if required, to Company Short-Term Investments GuidelinesPresent to Treasury Management the liquidity outlook of the company and investments proposals Requirements:Bachelors Degree in Finance, Accounting or Economics or a related field. An MBA or other advanced business degree is preferred. Strong preference for a professional certification such as CFA, CPA or CFP. 12-15 years Treasury experience to include cash forecasting and cash management activities. Prior experience with successfully placing competitive short-term cash investment. Integrated Oil Company operational experience a plus. Ability to coach staff in developing their analytical skills and project delivery capabilities. Advanced proficiency in excel and excellent presentation skills.Desired Candidate ProfileEducation:Bachelor of Business Administration(Management)Gender:nmNationality:Any Nationality

Keyskills :
Excel investment performance Cash Management Presentation Skills Market Analysis

About Company

Baker Hughes Company is an American international industrial service company and one of the world's largest oil field services companies. The company provides the oil and gas industry with products and services for oil drilling, formation evaluation, completion, production and reservoir consulting.

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