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الوصف الوظيفي Monitoring, controlling & reporting financial situation and bank facilities utilization. Prepare weekly and monthly cash flow and report actual vs. forecasted. Processing & controlling of all loans and refinancing loans. Arranging the required information for banks facilities renewal. Analyze and review bank facilities documentation and agreements. Daily/weekly report of foreign currency rate, copper price and bank balances. Arranging fund and follow-up all banks liabilities on daily basis (due loans, LCS, BCS & Hedge Deals). Any other work as assigned by department head. المهارات Finance or MIS, Microsoft office, English and Arabic language. Very good negotiator with bankers to achieve the best terms and conditions for any agreement. Knowledge of Hedging and Financing Transaction. Knowledge of bank facility documentation. Creative solutions and ability to work under pressure. تفاصيل الوظيفة https://www.bayt.com/ar/saudi-arabia/jobs/treasurer-3782341/ |
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