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  • Job reference: RMS0139702

Financial Analyst - Credit Management

  • Sector: Commercial
  • Location: Saudi Arabia
  • Job type: Permanent
  • Date posted: 15/10/2015
  • Time left:
    d h m s
    (09/11/15)
This vacancy has now expired.
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The Company:
Sadara Chemical Company is an exciting joint venture between Saudi Aramco, one of the leading energy suppliers to the world, and The Dow Chemical Company a leading science and Technology Company of the world. Sadara will represent the largest petrochemical facility ever built in a single phase establishing a world-scale manufacturing footprint that delivers a full range of value-added performance products encompassing 26 manufacturing plants. The integrated complex based in Al Jubayl, Kingdom of

The Role:
Assist in treasury-related activities, including cash management, risk management and financial planning to regulate the liquidity and financial stability of Sadara.

•Complete all cash management set-up documentation for new and existing department processes.
•Participate in the preparation of Sadara’s financial statements, including income statement, balance sheet and cash flow statement.
•Carry out all financial operations in compliance with Generally Accepted Accounting Principles (GAAP) and International Accounting Standards Board (IASB) as stipulated in the internal policies and procedures.
•Ensure that all financial transactions and documentation comply with all Saudi Arabian legal procedures and other associated regulatory requirements.
•Support all cash management operations, including daily cash administration, management of current accounts and bank relations.
•Process incoming and outgoing wire transfers in an accurate and timely manner.
•Assist in the development of financial forecasts to accurately simulate the impact of proposed actions/plans.
•Assist in monitoring liquidity by forecasting and monitoring cash flows (weekly, monthly, quarterly etc.) to ensure adequate cash liquidity for financial operations.
•Assist the Treasurer in the review of the company’s annual business/operating plans and capital expenditure budgets.
•Administer and process petty cash funds to ensure that daily disbursement are accounted.
•Perform any other finance job-related activities as requested by the immediate supervisor/manager.

Essential Skills / Qualifications:
• Bachelor degree in Finance, Accounting, Business Administration or any related field.
• CPA/CFA/MBA (or equivalent)

Desirable Skills / Qualifications:
• Communication
• Analytical thinking
• Quality of work
• Timeliness
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