CASH & LIQUIDITY MANAGEMENT ANALYST II

Posted on

Wednesday, 07 May 2025, 9 Dhu Al Qida 1446

 

Apply by

 

Wednesday, 02 July 2025, 7 Muharram 1447

 

Location

 

Riyadh

 

Department/Section

 

Cash & Liquidity Management Section

Summary

Supports Cash & Liquidity Management operations including, but not limited to, cash pool and standalone account management in the Hospital’s. Monitors the flow of cash into and out of the Hospital and the creation of the cash management statements.

Essential Responsibilities and Duties

1. Accomplishes cash and liquidity to ensure that the company has enough funds to meet its financial obligations. 

2. Assists in monitoring and projects cash flows to ensure adequate liquidity for the company's operational needs. 
3. Analyses liquidity positions and provide recommendations on cash deployment. 4. Assists in managing bank relationships, negotiating pricing and structure of bank services, and monitoring bank fees. 
5. Prepares and presents periodic cash and liquidity management reports to senior management. 
6. Collaborates with other departments to forecast cash needs and create forecasts for reporting purposes. 
7. Prepares cash payment instructions, funding requests, and wire transfers.

Education

Bachelor’s or Associate Degree/Diploma in Finance, or other related discipline is required.

Experience Required

Grade 07: 

No experiences with Bachelor’s, or one (1) year of related experience with Associate Degree/Diploma is required. 

Grade 08: 
One (1) year of related experience with Bachelor’s, or three (3) years with Associate Degree/Diploma or is required.

Other Requirements(Certificates)

-Saudi National only. 

-CFA, CMA, CPA, or any other internationally recognized and related certifications are preferred.