44 Budget Analysis jobs in Saudi Arabia
Associate - Financial Planning & Analysis
Posted 11 days ago
Job Viewed
Job Description
Assist in the preparation of financial forecasts, budgets, and long-term plans.
Conduct financial modeling and analysis to support investment decisions and evaluate capital projects.
Collaborate with cross-functional teams, providing financial insights and guidance to improve profitability and
performance.
Prepare monthly, quarterly, and annual financial reports, highlighting key findings, trends, and recommendations.
Monitor key financial indicators and performance metrics and provide ongoing analysis to identify areas for
improvement.
Support the development and implementation of financial policies, procedures, and systems.
Assist with risk assessment and management, ensuring compliance with regulatory requirements and industry
best practices.
Support the preparation of monthly, quarterly, and annual financial forecasts.
Prepare comprehensive financial reports and presentations for management and stakeholders.
Conduct variance analysis and identify key drivers of financial performance.
Collaborate with cross-functional teams to understand business drivers and support financial planning initiatives.
Provide financial insights and analysis to support decision-making across departments.
Build strong relationships with stakeholders to ensure alignment of financial plans with organizational goals.
Identify opportunities to streamline financial processes and improve efficiency.
Participate in initiatives to enhance financial planning tools, systems, and reporting
Education Bachelor's degree in business, finance, or a related field.
Experience 0-3 years of experience in revenue management, pricing analytics, or a similar role, preferably within the hospitality
and entertainment sectors
Skills
Proficiency in data analysis tools such as Excel, SQL and Tableau is a plus.
Strong analytical and problem-solving skills.
Excellent communication and presentation skills.
Ability to work independently and collaboratively in a fast-paced environment.
Detail-oriented and highly organized, with the ability to manage multiple priorities effectively.
Languages: Fluent in English and Arabic.
Core
Competencies
Self-Actualization & Fulfilment: Proficiency Level – ADVANCED
Team Synergy & Development: Proficiency Level - ADVANCED
Entrepreneurial Mindset & Drive: Proficiency Level - ADVANCED
Business Acumen & Diligence: Proficiency Level - ADVANCED
#J-18808-LjbffrManager - Financial Planning & Analysis
Posted 27 days ago
Job Viewed
Job Description
INSPIRE | EXHILARATE | DELIGHT
For over seven decades, Chalhoub Group has been a partner and creator of luxury experiences in the Middle East. In its pursuit to excel as a hybrid luxury retailer, the Group has curated a portfolio of over 10 owned brands and strengthened its distribution and marketing expertise for over 400 international names across luxury fashion, beauty, jewellery, watches, eyewear, and art de vivre categories.
Every step at Chalhoub Group is taken to build a future where luxury dreams become reality — bridging cultures and crafting memorable experiences for our consumers. Be it by constantly reinventing itself, committing to innovation, or embracing new technologies, the Group is shaping the future of luxury retail. It delivers seamless omnichannel experiences across more than 950 stores, online platforms, and mobile apps. Driving this innovation journey is The Greenhouse — the Group’s innovation hub, incubator, and accelerator for startups and emerging businesses, regionally and globally.
Chalhoub Group fosters a people-at-heart culture rooted in diversity, equity, and inclusion, and a workplace catalysed by forward thinking and future-proofing. Today, it brings together over 16,000 talented professionals across eight countries in the Middle East, with a presence in LATAM. Their collective efforts have earned the Group the Great Place to Work certification in several markets.
Sustainability is at the core of the Group’s strategy, guided by a clear commitment to people, partners, and the planet. Chalhoub Group is proud to be a member of the United Nations Global Compact, a signatory of the Women’s Empowerment Principles, and to have pledged to reach Net Zero by 2040.
What you'll be doing
- Develop trustworthy relationship with the Business Units to drive financial management and processes.
- Support operations in preparing P&L projection, analysis of financial viability of new investments and budget follow-up.
- Organize internal and external reporting; make constructive proposals and act as an internal consultancy to Managing Director, Finance Director and Business units’ Managers to monitor the business.
- Evaluate business proposals with complete analysis of economic impact on business Analyze financial information to produce forecasts of business, industry and economic conditions for use in making decisions.
- Assist in developing Financial Strategic Planning such as the 3-Y Plan Review purchase cycle and analyze the Cash Flow and stock position on regular basis to provide corrective actions if necessary.
- Prepare variance analysis and recommendations on monthly financial figures from business units compared to budget and last year and issue reports as required by the management.
- Follow up and control the capital expenditure budgets allocated to the business unit.
- Monitor the cost structure of the companies’ business units and prepare business profitability analysis.
- Arrange, observe and control the P&L, balance sheet and recommend action.
- Provide Internal Control and ensure compliance with all Group Policies and Procedures Prepare and monitor the performance of internal rate of return (IRR) studies for proposed outlets and new products.
- Prepare the Monthly dashboard, budget revisions and close follow up on: collections, payables, stock, sales and net margin. challenge assumptions and propose revisions.
- Drive month end closing by analyzing trial balances, researching general ledger activity and variances to budget and prior year.
- Develop and improve processes related to expenditure, appropriate financial methods to beer evaluate and measure performance
- Provide analytical support as required to various cross-function initiative and ad hoc projects (e.g. preparing business plans, study of the cash flow and P&L)
- Instigate and participate in all process improvement initiative related to the Business Unit
- Participate in relevant projects and community activities as and when needed
- Monitoring and managing the organization’s bank relationships and liquidity management
- Forecasting of medium and long- term funding and hedging requirements Daily cash management
- Debt facilities management
What you’ll need to succeed
- Master/BA in Finance.
- Minimum of 8-10 years' experience in Financial Planning positions of increasing responsibility.
- Excellent analytical skills with demonstrated experience with financial statement analysis, financial metrics.
- Advanced knowledge of Microsoft Office, primarily Excel and Dashboard.
- Proven track record of demonstrating intellectual curiosity, problem solving, business acumen and enthusiasm.
- Excellent communication and organizational skills. Proven ability to collaborate across teams, functions and departments.
- Ability to work well with a team and also thrive independently.
- Attention to accuracy and detail required
What we can offer you
With us,you will turn your aspirations into reality. We will help shape your journey through enriching experiences, learning and development opportunities and exposure to different assignments within your role or through internal mobility. Our Group offers diverse career paths for those who are extraordinary, every day.
We recognise the value that you bring, and we strive to provide a competitive benefits package which includes health care, child education contribution, remote and flexible working policies as well as exclusive employeediscounts.
We Invite All Applicants to Apply
It Takes Diversity Of Thought, Culture, Background, Differing Abilities and Perspectives to truly Inspire, Exhilarate and Delight our customers. At Chalhoub Group, we are committed to inclusion and diversity.
We welcome all applicants to apply and be part of our exciting future. We ensure equal opportunity for all our applicants without regard to gender, age, race, religion, national origin or disability status.
#J-18808-LjbffrManager - Financial Planning & Analysis
Posted 10 days ago
Job Viewed
Job Description
INSPIRE EXHILARATE DELIGHT
For over seven decades, Chalhoub Group has been a partner and creator of luxury experiences in the Middle East. In its pursuit to excel as a hybrid luxury retailer, the Group has curated a portfolio of over 10 owned brands and strengthened its distribution and marketing expertise for over 400 international names across luxury fashion, beauty, jewellery, watches, eyewear, and art de vivre categories.
Every step at Chalhoub Group is taken to build a future where luxury dreams become reality - bridging cultures and crafting memorable experiences for our consumers. Be it by constantly reinventing itself, committing to innovation, or embracing new technologies, the Group is shaping the future of luxury retail. It delivers seamless omnichannel experiences across more than 950 stores, online platforms, and mobile apps. Driving this innovation journey is The Greenhouse - the Group's innovation hub, incubator, and accelerator for startups and emerging businesses, regionally and globally.
Chalhoub Group fosters a people-at-heart culture rooted in diversity, equity, and inclusion, and a workplace catalysed by forward thinking and future-proofing. Today, it brings together over 16,000 talented professionals across eight countries in the Middle East, with a presence in LATAM. Their collective efforts have earned the Group the Great Place to Work certification in several markets.
Sustainability is at the core of the Group's strategy, guided by a clear commitment to people, partners, and the planet. Chalhoub Group is proud to be a member of the United Nations Global Compact, a signatory of the Women's Empowerment Principles, and to have pledged to reach Net Zero by 2040.
What you'll be doing
- Develop trustworthy relationship with the Business Units to drive financial management and processes.
- Support operations in preparing P&L projection, analysis of financial viability of new investments and budget follow-up.
- Organize internal and external reporting; make constructive proposals and act as an internal consultancy to Managing Director, Finance Director and Business units' Managers to monitor the business.
- Evaluate business proposals with complete analysis of economic impact on business Analyze financial information to produce forecasts of business, industry and economic conditions for use in making decisions.
- Assist in developing Financial Strategic Planning such as the 3-Y Plan Review purchase cycle and analyze the Cash Flow and stock position on regular basis to provide corrective actions if necessary.
- Prepare variance analysis and recommendations on monthly financial figures from business units compared to budget and last year and issue reports as required by the management.
- Follow up and control the capital expenditure budgets allocated to the business unit.
- Monitor the cost structure of the companies' business units and prepare business profitability analysis.
- Arrange, observe and control the P&L, balance sheet and recommend action.
- Provide Internal Control and ensure compliance with all Group Policies and Procedures Prepare and monitor the performance of internal rate of return (IRR) studies for proposed outlets and new products.
- Prepare the Monthly dashboard, budget revisions and close follow up on: collections, payables, stock, sales and net margin. challenge assumptions and propose revisions.
- Drive month end closing by analyzing trial balances, researching general ledger activity and variances to budget and prior year.
- Develop and improve processes related to expenditure, appropriate financial methods to beer evaluate and measure performance
- Provide analytical support as required to various cross-function initiative and ad hoc projects (e.g. preparing business plans, study of the cash flow and P&L)
- Instigate and participate in all process improvement initiative related to the Business Unit
- Participate in relevant projects and community activities as and when needed
- Monitoring and managing the organization's bank relationships and liquidity management
- Forecasting of medium and long- term funding and hedging requirements Daily cash management
- Debt facilities management
What you'll need to succeed
- Master/BA in Finance.
- Minimum of 8-10 years' experience in Financial Planning positions of increasing responsibility.
- Excellent analytical skills with demonstrated experience with financial statement analysis, financial metrics.
- Advanced knowledge of Microsoft Office, primarily Excel and Dashboard.
- Proven track record of demonstrating intellectual curiosity, problem solving, business acumen and enthusiasm.
- Excellent communication and organizational skills. Proven ability to collaborate across teams, functions and departments.
- Ability to work well with a team and also thrive independently.
- Attention to accuracy and detail required
What we can offer you
With us,you will turn your aspirations into reality. We will help shape your journey through enriching experiences, learning and development opportunities and exposure to different assignments within your role or through internal mobility. Our Group offers diverse career paths for those who are extraordinary, every day.
We recognise the value that you bring, and we strive to provide a competitive benefits package which includes health care, child education contribution, remote and flexible working policies as well as exclusive employeediscounts.
We Invite All Applicants to Apply
It Takes Diversity Of Thought, Culture, Background, Differing Abilities and Perspectives to truly Inspire, Exhilarate and Delight our customers. At Chalhoub Group, we are committed to inclusion and diversity.
We welcome all applicants to apply and be part of our exciting future. We ensure equal opportunity for all our applicants without regard to gender, age, race, religion, national origin or disability status.
Associate - Financial Planning & Analysis
Posted today
Job Viewed
Job Description
Assist in the preparation of financial forecasts, budgets, and long-term plans.
Conduct financial modeling and analysis to support investment decisions and evaluate capital projects.
Collaborate with cross-functional teams, providing financial insights and guidance to improve profitability and
performance.
Prepare monthly, quarterly, and annual financial reports, highlighting key findings, trends, and recommendations.
Monitor key financial indicators and performance metrics and provide ongoing analysis to identify areas for
improvement.
Support the development and implementation of financial policies, procedures, and systems.
Assist with risk assessment and management, ensuring compliance with regulatory requirements and industry
best practices.
Support the preparation of monthly, quarterly, and annual financial forecasts.
Prepare comprehensive financial reports and presentations for management and stakeholders.
Conduct variance analysis and identify key drivers of financial performance.
Collaborate with cross-functional teams to understand business drivers and support financial planning initiatives.
Provide financial insights and analysis to support decision-making across departments.
Build strong relationships with stakeholders to ensure alignment of financial plans with organizational goals.
Identify opportunities to streamline financial processes and improve efficiency.
Participate in initiatives to enhance financial planning tools, systems, and reporting
Education Bachelor's degree in business, finance, or a related field.
Experience 0-3 years of experience in revenue management, pricing analytics, or a similar role, preferably within the hospitality
and entertainment sectors
Skills
Proficiency in data analysis tools such as Excel, SQL and Tableau is a plus.
Strong analytical and problem-solving skills.
Excellent communication and presentation skills.
Ability to work independently and collaboratively in a fast-paced environment.
Detail-oriented and highly organized, with the ability to manage multiple priorities effectively.
Languages: Fluent in English and Arabic.
Core
Competencies
Self-Actualization & Fulfilment: Proficiency Level – ADVANCED
Team Synergy & Development: Proficiency Level - ADVANCED
Entrepreneurial Mindset & Drive: Proficiency Level - ADVANCED
Business Acumen & Diligence: Proficiency Level - ADVANCED
#J-18808-LjbffrGeneral Manager of Budget Planning and Analysis
Posted today
Job Viewed
Job Description
- Analyzing actual results to budgets and forecasts.
- Monitoring the budget throughout the year.
- Consolidating the data for budget presentation and also providing an overview of the financial status of all the operations.
- Suggesting suitable amendments in the budget to the higher authorities and managerial staff of the concerned department.
- Studying the previous budget and also taking into consideration the benefits and losses occurred during the previous financial years, due to budget planning.
**Requirements**:
- Education: Bachelor (Minimum), Masters is plus.
- Experience: Minimum 10 years
- Strong Leadership skills and advance interpersonal skills.
Financial Planning and Analysis Supervisor
Posted 11 days ago
Job Viewed
Job Description
Get AI-powered advice on this job and more exclusive features.
The FP&A Supervisor is responsible for overseeing and supporting the financial planning, forecasting, and analysis activities of the organization. This role will work closely with business units, senior management, and the finance team to provide accurate financial insights that drive strategic decision-making. The FP&A Supervisor ensures timely delivery of budgets, forecasts, and performance reports and contributes to improving financial processes and systems.
Key Responsibilities:
- Supervise the preparation and consolidation of the annual budget, quarterly forecasts, and long-term financial plans.
- Lead monthly and quarterly variance analysis of actuals vs. budget/forecast and provide insights to senior leadership.
- Partner with business units to support financial decision-making, investment appraisals, and cost optimization initiatives.
- Develop, maintain, and improve financial models and tools for planning and analysis.
- Manage cash flow forecasts and working capital analysis.
- Support the preparation of board presentations, management reports, and strategic financial reviews.
- Ensure accuracy and integrity of financial data in reporting systems (e.g., ERP, BI tools).
- Monitor key performance indicators (KPIs) and recommend corrective actions as needed.
- Mentor junior analysts and coordinate cross-functional financial planning efforts.
- Identify and implement improvements to FP&A processes and tools for increased efficiency and reliability.
Qualifications & Experience:
- Bachelor’s degree in Finance, Accounting, Economics, or related field (Master’s or MBA is a plus).
- Professional certification such as CMA, CPA, or CFA preferred.
- 5+ years of experience in FP&A or corporate finance, with at least 1–2 years in a supervisory or lead role.
- Strong analytical, problem-solving, and financial modeling skills.
- Proficiency in Microsoft Excel, PowerPoint, and ERP systems (e.g., SAP, Oracle, or similar).
- Experience with BI and reporting tools (e.g., Power BI, Tableau) is a plus.
- Excellent communication and presentation skills.
- Strong attention to detail and ability to manage multiple priorities.
- Business acumen and strategic thinking
- Leadership and team management
- Strong interpersonal and cross-functional collaboration
- High level of integrity and confidentiality
- Adaptability and continuous improvement mindset
- Seniority level Mid-Senior level
- Employment type Full-time
- Job function Finance, Analyst, and Strategy/Planning
- Industries Retail, Wellness and Fitness Services, and Sports Teams and Clubs
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#J-18808-LjbffrFinancial Planning and Analysis Manager
Posted 11 days ago
Job Viewed
Job Description
Why Valvoline Global Operations?
At Valvoline Global Operations, we’re proud to be The Original Motor Oil, but we’ve never rested on being first. Founded in 1866, we introduced the world’s first branded motor oil, staking our claim as a pioneer in the automotive and industrial solutions industry. Today, as an affiliate of Aramco, one of the world’s largest integrated energy and chemicals companies, we are driven by innovation and committed to creating sustainable solutions for a better future.
With a global presence, we develop future-ready products and provide best-in-class services for our partners around the world. For us, originality isn’t just about where we began; it’s about where we’re headed and how we’ll lead the way. We are originality in motion.
Our corporate values—Care, Integrity, Passion, Unity, and Excellence—are at the heart of everything we do. These values define how we operate, how we treat one another, and how we engage with our partners, customers, and the communities we serve. At Valvoline Global, we are united in our commitment to:
• Treating everyone with care.
• Acting with unwavering integrity.
• Striving for excellence in all endeavors.
• Delivering on our commitments with passion.
• Collaborating as one unified team.
When you join Valvoline Global, you’ll become part of a culture that celebrates creativity, innovation, and excellence. Together, we’re shaping the future of automotive and industrial solutions.
Careers for the Driven
The Manager, Financial Planning & Performance plays a critical role in supporting the financial governance and performance reporting framework of the Lubes Business Management (LBM) organization. Reporting to the Senior Director, LBM, this role is responsible for overseeing financial planning cycles, managing capital and operational reporting, and ensuring alignment with Aramco and Valvoline Global’s shareholder expectations. The Manager serves as a financial advisor within the LBM team, KPI monitoring, and accurate communication. This role also contributes to governance coordination and executive communications, enabling transparency and accountability in shareholder engagements
Role & Responsibilities:
Financial Planning & Forecasting
- Review and communicate monthly cash-flow forecasts and detailed analysis of operating expenditures to support liquidity management.
- Review and communicate capital-expenditure reports and monitor sustaining-capital spend against budget.
Reporting & Executive Communications
- Manage the monthly Financial Handbook and coordinate financial-statement submissions with internal finance teams and external stakeholders.
- Coordinate the development and timely submission of Quarterly Business Reviews (QBRs), Mid-Year reviews, and Year-End accountability reports for executive and shareholder audiences.
Performance Monitoring & KPI Management
- Monitor and communicate monthly and annual financial KPIs, ensuring alignment with strategic objectives and operational targets.
Capital & Liquidity Management
- Review and communicate refinancing, funding, and borrowings—ensuring accuracy, compliance with shareholder expectations, and adherence to corporate financing policies.
- Act as the financial liaison during strategic-planning discussions.
Governance & Compliance Support
- Support internal governance forums by contributing financial content to leadership engagements, including Aramco gating processes (DEC, DISC, GEC, GIC).
- Lead coordination of ISD and internal-audit requirements related to financial planning, from initial planning through on-site facilitation.
Cross-Functional Collaboration & Presentation Support
- Partner with strategic-planning teams to develop high-impact presentation materials and manage action-item tracking for executive forums.
- Collaborate with project teams to support financial development and submission of capital-project waivers, scopes, and justifications—ensuring strict adherence to investment governance protocols.
Note: Additional responsibilities may be assigned by Valvoline Global at its discretion.
What Sets You Apart:
- 7-8 years of work experience in a similar function and industry
- Good English language skills both verbally and written
- Arabic Speaker would be a plus
- Ability to collaborate and engage with senior leadership.
- Good communication and stakeholder management skills
Valvoline Global is an equal opportunity employer. We are dedicated to fostering an environment where every individual feels valued, respected, and empowered to contribute their unique perspectives and skills. We strictly prohibit discrimination and harassment of any kind, regardless of race, color, religion, age, sex, national origin, disability, genetics, veteran status, sexual orientation, gender identity, or any other legally protected characteristic.
We are committed to ensuring accessibility throughout our recruitment process. If you require a reasonable accommodation to participate in any stage of the recruitment or selection process, please contact us at:.
• Email:
This contact information is solely for accommodation requests. For inquiries about application status, please use the appropriate channels listed in your application materials.
Are You Ready to Make an Impact?
At Valvoline Global, we’re looking for passionate and talented individuals to join our journey of innovation and excellence. Are you ready to shape the future with us? Apply today.
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About the latest Budget analysis Jobs in Saudi Arabia !
VP Financial Planning
Posted 4 days ago
Job Viewed
Job Description
- Reporting into the Group CFO
- Leading group FP&A activities, M&A and contributing to growth objectives
About Our Client
The hiring company is a large organisation in the Technology industry. Known for its innovative approach, the firm has established itself as a market leader in the tech, digital and AI sector, constantly pushing boundaries and setting new standards. They now have operations in the Middle East, North America and Europe.
Job Description
- Oversee and manage all financial planning activities.
- Develop and implement strategic financial plans.
- Analyse financial data and prepare forecasts.
- Lead team in annual budgeting process.
- Ensure compliance with financial regulations and standards.
- Coordinate with senior management to align financial plans with business goals.
- Report on financial performance and make recommendations.
- Drive financial planning initiatives to support the company's growth.
The Successful Applicant
- A strong educational background in Finance, Accounting or related fields.
- Must hold experience in operating in Europe and/or North America.
- Must hold string M&A experience
- Proven leadership skills and the ability to manage a team.
- Excellent analytical and strategic planning skills.
- Strong knowledge of financial regulations and standards.
- The ability to align financial plans with business objectives.
- Excellent communication and presentation skills.
What's on Offer
A competitive salary, relocation support and benefits package
#J-18808-LjbffrVP Financial Planning
Posted 5 days ago
Job Viewed
Job Description
- Reporting into the Group CFO
- Leading group FP&A activities, M&A and contributing to growth objectives
About Our Client
The hiring company is a large organisation in the Technology industry. Known for its innovative approach, the firm has established itself as a market leader in the tech, digital and AI sector, constantly pushing boundaries and setting new standards. They now have operations in the Middle East, North America and Europe.
Job Description
- Oversee and manage all financial planning activities.
- Develop and implement strategic financial plans.
- Analyse financial data and prepare forecasts.
- Lead team in annual budgeting process.
- Ensure compliance with financial regulations and standards.
- Coordinate with senior management to align financial plans with business goals.
- Report on financial performance and make recommendations.
- Drive financial planning initiatives to support the company's growth.
The Successful Applicant
- A strong educational background in Finance, Accounting or related fields.
- Must hold experience in operating in Europe and/or North America.
- Must hold string M&A experience
- Proven leadership skills and the ability to manage a team.
- Excellent analytical and strategic planning skills.
- Strong knowledge of financial regulations and standards.
- The ability to align financial plans with business objectives.
- Excellent communication and presentation skills.
What's on Offer
A competitive salary, relocation support and benefits package
VP Financial Planning
Posted today
Job Viewed
Job Description
- Reporting into the Group CFO
- Leading group FP&A activities, M&A and contributing to growth objectives
About Our Client
The hiring company is a large organisation in the Technology industry. Known for its innovative approach, the firm has established itself as a market leader in the tech, digital and AI sector, constantly pushing boundaries and setting new standards. They now have operations in the Middle East, North America and Europe.
Job Description
- Oversee and manage all financial planning activities.
- Develop and implement strategic financial plans.
- Analyse financial data and prepare forecasts.
- Lead team in annual budgeting process.
- Ensure compliance with financial regulations and standards.
- Coordinate with senior management to align financial plans with business goals.
- Report on financial performance and make recommendations.
- Drive financial planning initiatives to support the company's growth.
The Successful Applicant
- A strong educational background in Finance, Accounting or related fields.
- Must hold experience in operating in Europe and/or North America.
- Must hold string M&A experience
- Proven leadership skills and the ability to manage a team.
- Excellent analytical and strategic planning skills.
- Strong knowledge of financial regulations and standards.
- The ability to align financial plans with business objectives.
- Excellent communication and presentation skills.
What's on Offer
A competitive salary, relocation support and benefits package
#J-18808-Ljbffr