Overview
Identify, assess and manage financial risks—FX, interest rate, commodities and credit—to protect the company’s financial health and support strategic decision-making. Responsibilities Monitor and manage market, credit, liquidity and operational risks. Develop and maintain risk models (e.g. VaR, stress testing) and recommend hedge strategies. Execute and track FX and commodity hedging programs. Provide clear, actionable risk analysis and reports to senior management. Collaborate with Finance, Commercial and Supply Chain teams on risk practices. Stay current on market trends and regulatory developments. Qualifications & Skills Degree in Finance, Economics, or related field; FRM / CFA / CTP a plus. 8+ years experience in treasury finance Proven financial risk management and corporate treasury experience. Strong financial modelling and advanced Excel; Power BI / AI exposure preferred. Seniority level
Mid-Senior level Employment type
Full-time Job function
Finance Industries
Chemical Manufacturing
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Treasury Specialist • Dammam, Saudi Arabia