Treasury Accountant
GUTHMI Group · Djeddah
Job description
About the role
The Treasury Accountant ensures the company's cash position is accurately monitored and managed on a daily basis. This role is central to maintaining liquidity, processing payments, and liaising with banking partners.
Key responsibilities
- Monitor and follow up on daily bank balances to guarantee sufficient funds for operational needs.
- Open new company bank accounts and manage existing ones, ensuring all documentation is up‑to‑date.
- Track and monitor all bank account transactions, verifying each entry for accuracy and completeness.
- Verify and approve payment requests, making sure they comply with internal budgets and corporate policies.
- Handle payments through various methods such as cheques, electronic bank transfers, or cash, following proper authorization procedures.
- Prepare and submit transfer and payment orders, ensuring correct details and timely execution.
- Communicate regularly with banks to discuss services, resolve issues, and follow up on transaction‑related inquiries.
- Maintain accurate records of all treasury activities and produce reports as required by finance leadership.
Required profile
Required skills
Questions fréquentes
Why are you reporting this job?
Explore further
Salaries, guides and searches in Saudi Arabia.
Salary: Senior Accountant Based on 36 job offers in Saudi ArabiaSalaries by job title
Apply in 30 seconds
Enter your email to apply. An account will be created automatically.
By continuing, you accept our terms of use.
Already have an account? Login
Published 1 month ago
Expires 1 week from now
19 views · 0 interested
Boost your chances
Upload your CV — we will match you with relevant openings.
Analyzing your CV...
GUTHMI Group
Djeddah