323 Trainee Finance jobs in Saudi Arabia
Director Finance
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Reporting to: EVP Finance & Business Services
Job Purpose: As the Director Finance your role is to provide strategic financial leadership, oversee financial operations, and drive business growth and profitability. This role is responsible for developing and implementing financial strategies, managing financial resources, and ensuring compliance with financial regulations.
Oversee financial planning, budgeting, forecasting, and financial analysis.
Develop and execute comprehensive financial strategies aligned with the organization's strategic goals.
Manage accounting and financial reporting functions, ensuring accuracy and compliance.
Lead the financial closing process and preparation of financial statements.
Manage cash flow and treasury functions, optimizing liquidity and investment returns.
Develop and implement financial controls and risk management strategies.
Ensure compliance with financial regulations and reporting requirements.
Provide financial analysis and insights to support decision-making.
Manage financial systems and processes, driving efficiency and effectiveness.
Lead and develop the finance team, fostering a high-performance culture.
Build strong relationships with internal and external stakeholders.
Education and ExperienceBachelor's degree in finance, or an equivalent.Master's degree is preferred.
10+ years of experience in finance with at least 3 years in leadership roles
Strong financial acumen and strategic thinking abilities.
Experience in the government sector within the Kingdom of Saudi Arabia.
Extensive experience in financial management and leadership.
Deep understanding of accounting principles and financial reporting standards.
Proven ability to analyze financial data and provide actionable insights.
Strong leadership and team management skills.
Excellent communication and interpersonal skills.
Fluent in Arabic and English,
Experience working in Saudi Arabia with a deep understanding of the local legislative and regulatory environment.
Relocation support
Competitive compensation
Housing allowance
VIP medical insurance
Opportunity to work on a new exciting project with a group of passionate professionals. You will get the freedom to excel and make a real impact
Diversity disclaimerOur mission is to build a diverse organization where our members, regardless of background or identity, have a sense of belonging. We genuinely believe that thanks to creating a collaborative environment where different perspectives are valued, we can achieve more. Together, we want to reshape the boundaries of what is achievable in the esports domain.
#J-18808-LjbffrFinance Controller
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Close Inclusive Collection Job Postings Notification
"I believe successful people are the ones who take the initiative to learn, unlearn and relearn. It’s important to constantly challenge your knowledge and step out of your comfort zone."
Peggy Focheux Duval: Director of Learning & Development, France
We are looking for an experienced Finance Controller to lead the opening of Hyatt Place AlUla.
Hyatt Place AlUla represents a significant milestone in Hyatt’s expansion across the region and will feature 214 guestrooms, two food and beverage outlets, meeting space, swimming pool and a fitness center appealing to both leisure and business travelers.
Your RoleAs the Finance Controller , you will be responsible for managing all aspects of financial operations, ensuring compliance, accuracy, and efficiency in reporting and decision-making. You will provide strategic financial guidance to the leadership team while upholding Hyatt’s values of accountability, respect, and collaboration.
Key Responsibilities- Oversee all hotel accounting and financial reporting functions, including accounts payable, receivable, payroll, and general ledger.
- Prepare monthly and annual financial statements and forecasts in compliance with Hyatt standards.
- Manage budgeting, forecasting, and variance analysis processes to support business decisions.
- Ensure compliance with local laws, tax regulations, and internal audit requirements.
- Provide financial insights to the General Manager and department heads to optimize operational performance.
- Supervise and develop accounting team members, fostering a culture of learning and excellence.
- Liaise with external auditors, banks, and regulatory bodies as needed.
- Bachelor’s degree in Accounting, Finance, or related field; CPA or equivalent preferred.
- Minimum 3–5 years of progressive accounting/finance experience in the hospitality industry.
- Strong analytical, organizational, and communication skills.
- Proficiency in financial systems and Microsoft Excel; experience with hotel PMS and ERP systems (e.g., Opera, BirchStreet, or Oracle) a plus.
- Demonstrated leadership abilities with a collaborative mindset.
Care Connects us at Hyatt - we open doors, we welcome you and we care.
And we offer a great range of benefits, including:
- Long term career growth opportunities
- A motivated and connected team
- 12 complimentary nights (per year) in other Hyatt properties around the world as well as colleague rates and discounts
- And a company that truly cares
Discover what’s next. We look forward to hearing and learning from you.
Our family is always growing. Want to be in the know?
#J-18808-LjbffrFinance Controller
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Manager - Finance
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The Finance Manager - SeaLead will have overall responsibility for all financial matters pertaining to SeaLead, including services SL might operate out of SL as well as SL Agency Services offered to the parent company SeaLead Pte. in Singapore.
He/she must maintain an excellent and professional working relationship with the management team of SL as well as SL Group.
Main tasks and responsibilities:
This role ensures SeaLead’s office and third-party agents are supported in the following ways:
- Reconciliation of accounts with HQ: Ensures branch accounts match those of headquarters.
- Ensure timely month-end closing activities: Complete all necessary financial activities by the end of each month.
- Analyze monthly financial and operational performance: Review and interpret financial data to assess performance.
- Ensure compliance with policies and reporting: Adhere to established financial guidelines and regulations.
- Guidance on billing and accounting matters: Provide direction on billing procedures and accounting practices.
- Verification of invoice handling and processes: Check accuracy of invoice processing.
- Ensure appropriate and timely actions: Make sure necessary actions are executed promptly.
- Accurate entry in ERP system: Ensure data is correctly entered into the ERP system.
- Financial planning & analysis: Strategize and evaluate financial performance for future planning.
- Financial forecasts: Predict future financial outcomes based on current data.
- Cost controlling: Monitor and manage costs within budget.
- Control environment: Maintain effective governance and risk management processes.
- Budgeting
- Timely, accurate, and reliable accounting & reporting: Produce financial reports on time and with precision.
- Statutory reporting: Comply with legal financial reporting requirements.
- External audit: Facilitate independent review of financial statements and practices.
- Cash flow management and reporting: Track and manage cash inflows and outflows.
- Safeguarding company assets: Protect resources from loss or theft.
- Corporate tax, VAT, and GST: Manage and ensure compliance with tax obligations.
- Banking relationships: Manage interactions with financial institutions.
Key interactions (Internal | External):
Internal: Finance, HR & Admin, Operations, Commercial, Sales
Education requirements:
Bachelor’s degree in finance or accountancy or equivalent.
Proficiency in shipping-related accounting software such as SAP, especially the finance module in logistics/shipping environments.
Advanced Excel skills.
Background and experience:
Experience in the shipping/transportation industry is essential.
Experience in vessel operating shipping companies is preferred.
Minimum 10+ years of experience in finance roles.
Experience working with SAP.
Excellent written and verbal communication skills in English.
Strong management and supervisory skills.
Excellent organizational and time management skills.
#J-18808-LjbffrFinance Manager
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Premium Solutions Consultancy is hiring a Finance Manager for a reputable client in A l Qassim, Saudi Arabia . We are seeking a highly experienced finance professional with mandatory experience in Capital Market Authority (CMA) regulations and compliance.
Industry: Finance / Investment / Corporate Management
Responsibilities :
• Oversee all financial operations including budgeting, forecasting, and financial planning.
• Ensure full compliance with Capital Market Authority (CMA) regulations and reporting requirements.
• Monitor and manage company cash flows, investments, and financial risk.
• Prepare accurate and timely financial reports, including balance sheets, income statements, and cash flow statements.
• Develop internal controls and financial procedures to support efficient operations.
• Coordinate with auditors for annual audits and compliance reviews.
• Advise management on strategic financial decisions and long-term planning.
• Liaise with external stakeholders, including banks, investors, and regulatory bodies.
• Supervise and mentor finance team members, ensuring high performance and continuous development.
Requirements:
• Bachelor’s or Master’s degree in Finance, Accounting, or Economics.
• Mandatory experience with the Capital Market Authority (CMA ) in Saudi Arabia.
• Minimum 7–10 years of progressive finance experience, with at least 3 years in a managerial role.
• Proficient in financial systems, reporting tools, and advanced Excel.
• Excellent analytical, leadership, and communication skills.
• Professional certifications such as CFA, CPA, or CMA are a strong plus.
Potential and qualified candidates are encouraged to apply by sending their updated CV to:
Subject Line: Finance Manager – Al Qassim, KSA
Finance Manager
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Premium Solutions Consultancy is recruiting on behalf of a reputable client in Saudi Arabia for the position of Finance Manager . We are looking for a dynamic and experienced professional to lead and enhance operational efficiency. *Job Description: *
Effectively manage all accounting and financial tasks, oversee financial operations, provide periodic reports, and ensure strict compliance with financial regulations.
*Key Responsibilities: *
- Develop and present a comprehensive financial strategy aligned with company goals.
- Prepare budgets and lead the annual budgeting process.
- Establish regular forecasting for data-driven decision-making.
- Ensure timely and accurate financial reporting, including quarterly statements meeting regulatory requirements.
- Manage financial risks to enhance company stability.
- Maintain compliance with Saudi financial regulations.
- Ensure all financial reports meet regulatory standards.
- Optimize capital structure to support growth while maintaining target debt-to-equity ratios.
- Secure financing for strategic initiatives at minimal cost.
- Monitor and report financial performance against KPIs quarterly.
- Provide actionable insights to the CEO and executive team.
- Build strong relationships with banks and regulators to ensure financial stability.
Requirements & Qualifications:
- Saudi or non-Saudi national.
- Bachelor’s degree in accounting or finance.
- 5–7 years of accounting/finance experience.
- Strong knowledge of Saudi financial regulations and market dynamics.
- Leadership and communication skills.
- Proficiency in Arabic and English.
Potential and interested candidates whose profile closely matches the requirements may send their CV to:
Please mention " Finance Manager – KSA " in the subject line.
Finance Manager
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Sarmad is seeking a Finance Manager to join its insurance startup team. As the Finance Manager, you will be responsible for overseeing the financial operations of our organization and ensuring compliance with financial regulations. You will also be responsible for providing financial analysis, budgeting, forecasting, and strategic financial planning.
Responsibilities- Oversee the preparation and review of financial statements
- Manage the financial reporting process and ensure timely and accurate financial reporting
- Monitor and analyze financial performance, identify trends, and provide recommendations for improvement
- Develop and maintain financial policies and procedures
- Ensure compliance with financial regulations and reporting requirements
- Provide financial analysis and support for decision making
- Manage the budgeting and forecasting process
- Identify cost-saving opportunities and financial risks
- Manage relationships with banks, auditors, and other financial institutions
- Lead and mentor a team of finance professionals
- Minimum 5 years of experience in finance or accounting
- Bachelor's degree in finance, accounting, or related field
- Professional certification such as CMA or CPA is preferred
- Strong knowledge of financial principles and practices
- Experience in budgeting, forecasting, and financial analysis
- Excellent leadership and communication skills
- Fluency in English and Arabic
- Saudi nationality is required
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Finance Manager
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About the Company
We are looking for a dynamic, detail-oriented, and technically proficient Finance Manager to lead our finance and accounting operations. The ideal candidate will be ACCA-qualified with deep knowledge of GAAP, IFRS, and ISA, and hands-on experience in ERP systems such as Oracle and Microsoft Dynamics 365.
About the Role
The Finance Manager will oversee financial management and operations, ensuring timely and accurate financial reporting and compliance.
Responsibilities
- Financial Management and Operations
- Oversee day-to-day financial and accounting operations
- Ensure timely and accurate monthly closing processes
- Review and validate transactions across payables, receivables, and the general ledger
- Prepare monthly financial statements and internal management reports
- Support the annual budgeting and forecasting process
Maintain effective internal controls to ensure financial accuracy and compliance
Accounts Payable (AP) Oversight
- Define and document AP procedures and implement corrective actions where needed
- Ensure timely, accurate invoice processing and vendor payments
- Monitor aging reports and resolve outstanding payables
- Approve disbursements in line with internal policies
Reconcile AP balances with vendor statements
Month-End Closing and Reporting
- Lead month-end activities including accruals and prepayments (e.g. payroll, EOSB, leave, air tickets)
- Manage intercompany transactions and related-party disclosures
Maintain and update the Fixed Asset Register, including depreciation and amortization schedules
Payroll and Benefits
- Process monthly payroll and verify benefit calculations
Ensure alignment with HR records and internal guidelines
Banking and Compliance
- Prepare weekly bank reconciliations and monitor daily bank transactions
- Ensure VAT compliance and proper documentation of all purchases
Manage all banking and insurance documentation, including cheque and pay order issuance
Audit, Compliance, and Process Improvement
- Coordinate with auditors to ensure successful and timely annual audits
- Ensure full compliance with regulatory requirements and internal policies
- Lead initiatives for continuous improvement within the finance function
- Promote a culture of accountability, transparency, and operational excellence
Qualifications
- ACCA qualification (mandatory)
- Minimum of 5 years of experience in financial management, preferably in a corporate or multinational environment
- Solid understanding of IFRS, GAAP, IAS, and ISA standards
- Proficient in ERP systems such as Oracle or Microsoft Dynamics 365
- Strong command of Microsoft Office applications, especially Excel and Word
Required Skills
- Proven leadership and team management skills
- High attention to detail and accuracy
- Strong analytical and critical thinking abilities
- Excellent interpersonal and communication skills
- Ability to work under pressure, prioritize tasks, and meet tight deadlines
- High level of integrity and adherence to professional ethics
Finance Manager
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About the Job:
Provide daily financial analysis and strategic guidance to senior management to support sound financial and business decisions, aligned with the company's goals in delivering engineering and geospatial consulting services for government projects
Key Financial Leadership Responsibilities:
- Delivered accurate financial reports with strategic insights for senior management.
- Advised on investments and developed financial strategies aligned with company vision.
- Ensured financial sustainability through continuous monitoring and forecasting.
- Analyzed costs, pricing, and performance vs. project plans.
- Led budgeting, cost optimization, and long-term financial planning for government projects.
- Ensured regulatory compliance and effective financial controls.
- Fostered cross-functional collaboration to align financial and operational goals.
Qualifications:
- Bachelor's or Master's in Finance, Accounting, or Economics.
- Professional certifications preferred (e.g., CPA, CFA, or equivalent).
- 10+ Proven experience as a Financial Manager, ideally in engineering or geospatial firms.
- Strong knowledge of government contracting and procurement regulations.
- Expertise in financial forecasting, data analysis, and cost control.
- Proficient in financial systems and relevant software.
- Deep understanding of financial statistics and accounting principles.
- Committed to compliance with financial laws and regulations in Saudi Arabia or relevant jurisdiction.
Finance Assistant
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We are looking for a motivated and detail-oriented Finance Assistant to join our finance team. The successful candidate will be responsible for a range of accounting tasks and will be integral in ensuring smooth financial operations across multiple entities and currencies. The candidate should be a GCC national, fluent in Arabic and English.
To come on this journey with us, you will have a great sense of humour, pay attention to detail, be incredibly resourceful and creative, and relish a challenge.
Key Responsibilities- Perform credit card reconciliations, ensuring accuracy and completeness of transactions.
- Manage accounts payable, including invoice processing, supplier statement reconciliations, and payment scheduling.
- Conduct bank reconciliations for multiple entities and currencies, resolving discrepancies as required.
- Oversee and maintain the finance inbox, responding to queries and ensuring timely processing of financial documents.
- Process and execute bi-monthly payment runs, ensuring compliance with company policies and supplier agreements.
- Administer and manage the expense process, from reviewing submissions to processing payments accurately and efficiently.
- Support month-end and year-end close processes, including journal postings and reconciliations.
- Assist with financial reporting and analysis as required.
- Liaise with internal stakeholders and external suppliers to resolve finance-related queries.
- Ensure compliance with company policies, procedures, and relevant financial regulations.
Personal Skills and Experience
The key knowledge, experience, and qualifications we are looking for include:
- Minimum 2 years of finance experience, preferably within a multi-entity and multi-currency environment.
- Strong understanding of accounts payable, bank reconciliations, and expense management.
- Excellent attention to detail and ability to work accurately in a fast-paced environment.
- Proficiency in accounting software and Microsoft Excel.
- Strong organisational and time management skills.
- Ability to communicate effectively with internal and external stakeholders.
- Proactive approach to problem-solving and process improvement.
- Knowledge of financial regulations and compliance requirements.
About You
The key competencies and behaviours we are looking for include:
- Ability to flawlessly present and communicate in both written and verbal forms and be empathetic across different audiences and cultural sensitivities.
- Resilient, detailed, and creative.
- Be able to handle shifting demands.
- Self-motivated and resourceful.
- Flexible and adaptable in a dynamic company.
Trivandi provides advisory, design and delivery services to major events, venues, destinations and sports organisations.
Founded in 2013 from the success of the London 2012 Games, we have grown to over 80 specialists across three global offices in London, Dubai, and Riyadh, delivering over 300 projects in 29 countries.
Our unique "One Team" approach brings together the right expertise at the right time, synchronising strategy, design, project management, and operations to simplify complexity and deliver actionable solutions that drive meaningful impact.
We passionately share our knowledge to empower local teams, unlocking the full potential of each unique experience to inspire positive change and create lasting legacies.
That's what we mean by creating experiences, better