Financial Analyst Jobs in Saudi
6807 Jobs Found
<h2 class="h5">Job description</h2>
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Job Summary: <br>
<p>We are seeking an experienced Finance & Accounting Manager to join our FinTech organization in Saudi Arabia. The ideal candidate will have a strong background in finance and accounting with proven experience managing financial operations, reporting, compliance, and stakeholder relationships.</p><br><br> Key Responsibilities: <br>
<ul>
<li>Lead and manage the overall finance and accounting function, ensuring accurate and timely financial operations.</li><li>· Oversee financial reporting, including preparation of monthly, quarterly, and annual financial statements.</li><li>· Manage month-end, quarter-end, and year-end closing activities while ensuring accuracy and compliance with accounting standards.</li><li>· Develop and monitor financial plans, budgets, forecasts, and cash flow projections to support business objectives.</li><li>· Provide financial analysis and insights to senior management to support strategic decision-making.</li><li>· Establish, maintain, and improve internal financial controls, policies, and procedures.</li><li>· Ensure compliance with local regulations, IFRS standards, tax requirements, and company policies.</li><li>· Coordinate and manage external audits, internal audits, and regulatory reviews.</li><li>· Work closely with auditors, consultants, banks, and external financial stakeholders.</li><li>· Review and approve journal entries, reconciliations, payments, and financial transactions.</li><li>· Monitor accounts payable, accounts receivable, revenue recognition, and working capital management.</li><li>· Analyze financial performance, identify risks, and recommend corrective actions to improve profitability.</li><li>· Prepare management dashboards, financial reports, and key performance indicator (KPI) analysis.</li><li>· Ensure accurate financial data management and integrity across finance systems and reporting platforms.</li><li>· Assist in evaluating business cases, partnerships, investments, and expansion opportunities.</li><li>· Mentor and guide junior finance team members, ensuring knowledge sharing and professional development.</li><li>· Maintain confidentiality and integrity of sensitive financial information.</li>
</ul>
<br> Requirements: <br>
<ul>
<li><ul><li>Bachelor’s degree in Accounting, Finance, or related field.</li><li>7–10 years of relevant experience in finance and accounting (minimum 5 years required).</li><li>Experience in the <strong>FinTech industry</strong> is mandatory.</li><li>Professional certification preferred (CPA, ACCA, CMA, or equivalent).</li><li>Strong knowledge of financial reporting, accounting principles, and compliance.</li><li>Excellent analytical, problem-solving, and communication skills.</li><li>Ability to work independently and manage multiple priorities.</li></ul></li>
</ul>
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<br><br> </div><h2 data-automation-id="subHeaderPreferredCandidate" class="h5">
Preferred candidate </h2>
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<div class="col is-3 p5" data-automation-id="label_Years_of_experience">
<b>Years of experience</b>
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No experience required </div>
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<b>Degree</b>
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Bachelor's degree / higher diploma </div>
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<h3 >About the Role</h3>
<p >A large FMCG organisation is seeking an experienced <strong >FP&A Director</strong> to lead financial planning and performance management across its business operations. This <strong >full-time</strong> position is based in <strong >Jeddah, Makkah, Saudi Arabia</strong>, and is crucial for supporting strategic business performance and growth.</p> <h3 >Role Purpose</h3>
<p >The FP&A Director will be instrumental in driving the financial planning and analysis agenda, providing essential financial insights to guide strategic decision-making. This role ensures a robust alignment between the organisation's financial targets and its overall business performance, contributing directly to its strategic objectives.</p> <h3 >Key Responsibilities</h3>
<ul >
<li >Drive the financial planning and analysis (FP&A) agenda throughout the organisation.</li>
<li >Provide critical financial insights to support strategic decision-making processes.</li>
<li >Ensure strong alignment between established financial targets and actual business performance.</li>
<li >Collaborate closely with senior leadership and cross-functional teams to set comprehensive financial targets.</li>
<li >Review and analyse overall business performance against set objectives.</li>
<li >Support key investment decisions through thorough financial analysis.</li>
<li >Play a significant role in strengthening the organisation's financial planning, forecasting, and business review processes.</li>
</ul> <h3 >Qualifications and Experience</h3>
<ul >
<li >A minimum of <strong >10 years of relevant experience</strong> in Financial Planning & Analysis, preferably within a large-scale organisation.</li>
</ul> <h3 >Work Environment and Location</h3>
<p >This is a <strong >full-time</strong> role requiring a presence in <strong >Jeddah, Makkah, Saudi Arabia</strong>. The position involves working within a dynamic large FMCG organisation, engaging with various departments and senior stakeholders.</p> <h3 >Application Information</h3>
<p >Candidates who meet the specified qualifications and experience are invited to apply. Salary details for this position will be discussed directly with shortlisted applicants.</p>
<h3 >About the Role</h3>
<p >Basic Chemical Industries Group (BCIG) is seeking a <strong >Treasury Supervisor</strong> to join our team in Dammam. This full-time position is essential for effectively managing the group's financial position, maintaining liquidity, and supporting its operational and strategic objectives.</p> <h3 >Role Purpose</h3>
<p >The Treasury Supervisor plays a critical role in optimizing the group's financial health through diligent management of credit lines and banking relationships. This involves strategic financial analysis, negotiation, and ensuring strict compliance with all relevant regulations to secure the necessary funds for sustained growth and operations.</p> <h3 >Key Responsibilities</h3>
<ul >
<li >Effectively manage lines of credit to optimize the group's financial position, maintain liquidity, and support its operational and strategic objectives.</li>
<li >Analyze the group's financial requirements and determine the appropriate amount of credit needed to support operations, expansion, or other financial obligations by establishing lines of credit and negotiating terms, conditions, interest rates, and any associated fees.</li>
<li >Ensure compliance with all legal and regulatory requirements related to credit management, including maintaining accurate documentation, monitoring covenants, and preparing reports as needed.</li>
<li >Maintain strong relationships with banks and financial institutions to ensure smooth operations, discuss changes in credit requirements, renegotiate terms, renew lines of credit, and ensure efficient banking services and timely execution of transactions.</li>
<li >Provide information on projected cash flow, maintain positive cash, optimize working capital, and actively manage liquidity to ensure that the company has the necessary funds to sustain and grow its operations effectively.</li>
<li >Prepare and present timely and accurate treasury reports to the CFO, highlighting key performance indicators, cash positions, and liquidity forecasts.</li>
<li >Develop and implement treasury policies and procedures to maintain internal controls.</li>
</ul> <h3 >Qualifications and Experience</h3>
<ul >
<li >A minimum of <strong >5 to 10 years</strong> of experience in treasury or a related financial management role.</li>
<li >Demonstrated expertise in managing lines of credit and financial instruments.</li>
<li >Proven track record in financial analysis and strategic planning.</li>
</ul> <h3 >Required Skills and Attributes</h3>
<ul >
<li >Strong analytical and problem-solving skills with attention to detail.</li>
<li >Excellent negotiation and interpersonal skills for building and maintaining bank relationships.</li>
<li >Solid understanding of financial regulations and compliance frameworks.</li>
<li >Proficiency in financial reporting and forecasting.</li>
<li >Ability to develop and implement robust financial policies and procedures.</li>
</ul> <h3 >Application Information</h3>
<p >We invite qualified candidates with the relevant experience to apply for this full-time Treasury Supervisor position at Basic Chemical Industries Group in Dammam. This role offers an opportunity to contribute significantly to the financial stability and strategic direction of our organization.</p>
<div dir="rtl"><h3 >About Albawani and the Role</h3>
<p >Albawani (البواني) is seeking a <strong >Financial Reporting Officer</strong> to join its finance team in Riyadh, Saudi Arabia. This full-time position is designed for professionals with 2-5 years of experience in financial reporting, accounting, or a related finance field, who are committed to accuracy and compliance in financial operations.</p> <h3 >Role Purpose and Impact</h3>
<p >The Financial Reporting Officer is responsible for preparing accurate and timely financial reports, ensuring strict compliance with accounting standards, regulatory requirements, and company policies. This role supports critical financial analysis, reporting activities, audit requirements, and the preparation of financial statements, all of which are essential for informed decision-making and maintaining the integrity of the company's financial information.</p> <h3 >Key Responsibilities</h3>
<ul >
<li >Prepare monthly, quarterly, and annual financial reports.</li>
<li >Assist in the preparation of financial statements and supporting schedules.</li>
<li >Ensure financial reports are completed accurately and within deadlines.</li>
<li >Perform account reconciliations and validate financial data.</li>
<li >Ensure compliance with IFRS, company policies, and applicable regulations.</li>
<li >Support the implementation of accounting policies and procedures.</li>
<li >Maintain documentation supporting financial reporting activities.</li>
<li >Monitor updates to accounting standards and reporting requirements.</li>
<li >Analyze financial data and identify significant variances.</li>
<li >Assist in preparing management reports and financial performance summaries.</li>
<li >Support budgeting and forecasting activities when required.</li>
<li >Provide reporting insights to support business decisions.</li>
<li >Coordinate with internal and external auditors during audit engagements.</li>
<li >Prepare audit schedules and supporting documentation.</li>
<li >Support the implementation of internal controls and compliance requirements.</li>
<li >Assist in resolving audit observations and recommendations.</li>
<li >Maintain financial reporting databases and records.</li>
<li >Improve reporting templates and reporting efficiency.</li>
<li >Support automation and continuous improvement initiatives.</li>
<li >Perform other finance-related reporting duties as assigned.</li>
</ul> <h3 >Required Qualifications and Experience</h3>
<ul >
<li >Bachelor’s Degree in Accounting, Finance, or a related field.</li>
<li >2-5 years of experience in Financial Reporting, Accounting, or Finance.</li>
<li >Proven experience in preparing financial statements and management reports.</li>
<li >Good understanding of International Financial Reporting Standards (IFRS).</li>
<li >Experience dealing with external auditors is preferred.</li>
<li >Knowledge of financial controls and compliance requirements.</li>
<li >Experience with ERP systems is an advantage.</li>
<li >Professional certifications such as SOCPA, CPA, ACCA, or CMA are preferred.</li>
</ul> <h3 >Work Environment and Employment Details</h3>
<p >This is a full-time position based in Riyadh, Saudi Arabia, offering an opportunity to contribute to a structured and dynamic financial team within Albawani.</p> <h3 >Application Process</h3>
<p >Candidates who meet the specified qualifications and experience are encouraged to submit their applications for this role.</p></div>
<h2 class="h5">Job description</h2>
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<span>The KH Finance & Revenue Cycle Management (RCM) Specialist is responsible for overseeing the financial operations and revenue cycle management of KAUST Health, ensuring accurate financial reporting, effective budget management, and efficient insurance claims processing.<br> The role focuses on validating invoices and quotations, managing end-to-end insurance claim activities, monitoring financial performance, and optimizing revenue collection while ensuring compliance with contractual agreements and healthcare regulations.<br> Working closely with healthcare operators, insurance providers, finance teams, and senior leadership, the specialist plays a key role in improving financial sustainability, minimizing claim denials, strengthening financial controls, and supporting strategic decision-making through data-driven financial analysis and reporting.<br> Key Responsibilities Review and validate invoices submitted by the healthcare operator to ensure accuracy, completeness, and compliance with contractual agreements before payment approval.<br> Evaluate and approve quotations for healthcare services by verifying pricing, scope, and alignment with agreed contracts and organizational policies.<br> Lead the annual budgeting process, including budget preparation, monitoring, forecasting, and expenditure control to support KAUST Health's financial objectives.<br> Prepare financial reports and conduct variance analysis, providing monthly financial insights, forecasting, and recommendations to improve operational and financial performance.<br> Manage the end-to-end Revenue Cycle Management (RCM) process, ensuring timely and accurate submission of insurance claims to all insurance providers.<br> Validate insurance claims by reviewing billing accuracy, medical coding, documentation, and compliance with payer requirements to minimize claim denials.<br> Monitor claim rejections, collections, and reimbursement performance, analyze denial trends, implement corrective actions, and improve cash flow and revenue recovery.<br> Lead reconciliation meetings with healthcare operators and insurance companies to resolve payment discrepancies, outstanding claims, billing issues, and account reconciliations.<br> Develop and present financial and revenue cycle KPIs to senior leadership, identifying financial risks, revenue optimization opportunities, and process improvement initiatives.<br> Ensure financial compliance and stakeholder collaboration by supporting internal and external audits, maintaining compliance with financial policies and healthcare regulations, and serving as the primary liaison between KAUST Health, Finance, healthcare operators, and insurance companies.<br> Bachelor's degree in Finance, Accounting, Business Administration, or a related discipline (Finance or Accounting preferred).<br> Master's degree in Finance, Accounting, Business Administration, or Healthcare Management is preferred.<br> Professional certification such as CPA, CMA, ACCA, or equivalent is considered an added advantage.<br> Minimum of 6 years of professional experience, including at least 3 years in a leadership or specialist role in finance, healthcare finance, or revenue cycle management.<br> Proven experience in healthcare finance, including budgeting, financial planning, financial reporting, cost control, and expenditure management within hospitals or healthcare organizations.<br> Extensive knowledge of Revenue Cycle Management (RCM), including insurance claims processing, claim validation, reimbursement, denial management, collections, and financial reconciliation.<br> Strong financial analysis and reporting skills, with experience in budget preparation, forecasting, variance analysis, KPI reporting, and financial performance management.<br> Advanced Microsoft Excel proficiency, including Pivot Tables, XLOOKUP/VLOOKUP, financial modeling, dashboards, data analysis, and reporting; experience with ERP or healthcare financial systems is highly desirable.<br></span> </div><h2 data-automation-id="subHeaderPreferredCandidate" class="h5">
Preferred candidate </h2>
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<b>Years of experience</b>
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No experience required </div>
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<div class="col is-3 p5" data-automation-id="label_Degree">
<b>Degree</b>
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<div class="col is-9 p5" data-automation-id="data_Degree">
Bachelor's degree / higher diploma </div>
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<h3 >About the Role</h3>
<p >Qiddiya Investment Company is seeking an <strong >Analyst - Commercial and Reporting (Governance)</strong> to join its team in Riyadh, Riyadh Province. This full-time position is central to overseeing governance-related reporting and providing support to the organization's commercial functions. The role requires an experienced and detail-oriented professional to ensure compliance and drive efficiency.</p> <h3 >Role Purpose and Contribution</h3>
<p >The primary purpose of this role is to ensure that all projects and commercial activities align with regulatory requirements and internal policies. The Analyst will contribute to establishing and maintaining robust governance frameworks, which are critical for sustainable financial practices and operational efficiency across the company. This position plays a key part in upholding the organization's standards for compliance and transparency.</p> <h3 >Key Responsibilities</h3>
<ul >
<li >Review, draft, and assess contracts, agreements, and legal documents to ensure compliance with applicable laws and regulations.</li>
<li >Provide legal advice and guidance to executive management and business functions on regulatory, governance, and legal matters.</li>
<li >Prepare legal, governance, and compliance reports for senior management and the Board of Directors.</li>
<li >Develop, implement, and monitor governance frameworks, policies, and procedures.</li>
<li >Ensure compliance with corporate governance requirements and promote governance best practices across the organization.</li>
<li >Coordinate Board of Directors and committee meetings, including agenda preparation, meeting documentation, and maintenance of official records and minutes.</li>
<li >Manage shareholder communications, respond to inquiries, and ensure transparent disclosure of relevant information.</li>
<li >Review proposed regulations, amendments, and governance requirements, providing legal analysis and recommendations to stakeholders.</li>
<li >Liaise with regulatory authorities and internal stakeholders on governance, compliance, and legal matters.</li>
</ul> <h3 >Candidate Profile</h3>
<p >The ideal candidate will be an experienced and detail-oriented professional with a proven ability to manage complex governance and reporting tasks. Essential skills include strong analytical capabilities, meticulous attention to detail in legal document review, and the capacity to provide clear, actionable advice on regulatory matters. Effective communication and organizational skills are crucial for coordinating with various stakeholders and managing official records.</p> <h3 >Work Environment and Location</h3>
<p >This is a full-time position based in Riyadh, within the Riyadh Province. The role operates within a professional environment that requires proactive engagement and collaboration with both internal teams and external regulatory bodies to achieve the company's governance and commercial objectives.</p> <h3 >Compensation and Benefits</h3>
<p >Qiddiya Investment Company offers a comprehensive compensation and benefits package for this role.</p>
We are looking for an experienced PMO Consultant with a strong Finance background to support PMO and financial-related activities across business and transformation initiatives. The role will combine project management office governance with financial planning, budgeting, reporting and cost-control activities. The successful candidate will work closely with stakeholders to ensure effective governance, financial oversight, planning and reporting across projects and initiatives. Key Responsibilities Support PMO governance and ensure effective project management processes, controls and reporting. Lead and coordinate financial planning and budgeting activities related to projects and transformation initiatives. Monitor project financial performance, including costs, budgets, forecasts and variances. Prepare and consolidate financial and PMO reports for management and key stakeholders. Support cost control and ensure projects remain aligned with approved financial plans. Track project financial commitments, expenditure and overall budget utilization. Support transformation projects from a PMO and financial management perspective. Coordinate with Finance, Project Managers and business stakeholders to ensure accurate and timely financial information. Identify financial risks, budget deviations and areas requiring management attention. Maintain PMO documentation, governance reports, financial trackers and project performance information. Contribute to continuous improvement of PMO processes, reporting and financial controls.<br>Requirements Bachelor's degree in Finance, Accounting, Business Administration, Project Management or a related field.+7 years of experience with 3–5+ years in PMO/project financial management. Strong professional experience in Finance-related environments, combined with PMO/project management experience. Proven experience in PMO governance, financial planning, budgeting, forecasting, cost control and financial reporting. Experience supporting transformation or strategic projects. PMP certification is mandatory. Strong analytical and financial reporting skills. Advanced proficiency in Excel and experience working with financial/project reporting tools. Strong stakeholder management and communication skills. Ability to manage multiple projects, priorities and deadlines. Previous experience in Saudi Arabia is not mandatory. Experience in the insurance sector is not mandatory; candidates from other finance-related sectors can be considered. Knowledge of SAMA or Saudi insurance regulatory requirements is not mandatory.
Qiddiya Investment Company is at the forefront of the entertainment revolution in Saudi Arabia, and we are searching for an experienced and financially savvy leader to join our team as the Executive Director - Finance (Entertainment). This strategic role will oversee financial planning, analysis, and reporting for our diverse entertainment projects, ensuring the company's fiscal health and driving strategic financial initiatives.<br><br>The Executive Director will play a vital role in shaping the financial landscape of Qiddiya, providing leadership and strategic direction to the finance team, and ensuring that all financial practices align with the company's growth objectives and Vision 2030 goals.<br><br>Responsibilities<br><br>Lead and manage the finance function for Qiddiya's entertainment developments, ensuring timely and accurate financial reporting Develop and implement financial strategies that support overall business objectives while maximizing revenue and controlling costs Oversee budgeting, forecasting, and financial modeling for all entertainment projects, ensuring alignment with performance targets Prepare and present financial reports and analyses to senior management, highlighting insights and recommendations for informed decision-making Monitor key performance indicators (KPIs) and drive accountability across departments regarding financial performance Ensure compliance with financial regulations and standards, implementing robust internal controls across all financial processes Foster relationships with external stakeholders, including auditors, financial institutions, and regulatory bodies Lead and mentor a high-performing finance team, promoting professional development and knowledge sharing Support investment analysis and capital budgeting processes for new entertainment initiatives and projects<br><br>Requirements<br><br>Bachelor's degree in Finance, Accounting, or a related field (Master's degree or CPA preferred) At least 15 years of experience in finance and accounting, with a strong focus on the entertainment or hospitality sectors Proven track record of financial leadership in complex, multi-project environments Strong understanding of financial modeling, analysis, and forecasting techniques Excellent knowledge of local and international financial regulations and best practices Demonstrated experience in leading finance teams and managing financial operations Superior analytical skills, with an ability to translate data into actionable insights for executive decision-making Exceptional communication and interpersonal skills, with proficiency in stakeholder management Ability to thrive in a fast-paced environment and manage multiple priorities Experience in the Middle East region is advantageous<br><br>Benefits<br><br>Offering a comprehensive compensation and benefits package.
Position: AI Analyst | Photographer - Arabic<br><br>Type: Contractor Assignment<br><br>Compensation: $26/hr<br><br>Location: Remote<br><br>Commitment: Full-time (20 40 hours/week), with at least 4 hours overlap during PST business hours<br><br>Role Responsibilities<br><br>Source authentic, high-quality photographs of real-world places, products, and media relevant to the assigned locale. Verify image licensing and provenance, ensuring images are copyright-free, publicly available, explicitly licensed, or original. Conduct multi-step research using Google Search, Google Lens, reverse image search, and other reliable sources. Create cropped, occluded, masked, or degraded image versions while preserving realistic visual clues. Develop clear, time-bound prompts in English without revealing the target identity.<br><br>Requirements<br><br>Native or highly fluent in Arabic, with strong working proficiency in English. Strong familiarity with regionally significant, non-touristy landmarks, universities, municipal buildings, and domestic film and media. Comfortable conducting iterative, multi-step investigative research using Google Search, Google Lens, and reverse image search. Able to source and verify copyright-free or explicitly licensed imagery and document image provenance. Basic image-editing skills, including cropping, masking, and obscuring source images.<br><br>Application Process<br><br>Apply via the ICF. Check your email for next steps.<br><br>Skills: Photography, Arabic, Artificial Intelligence
Hays is partnered with a prestigious independent advisory firm to identify an M&A Associate for their Riyadh office. Looking someone from a tier 1 bank who can take ownership on complex mandates with minimal oversight, mentor the next generation of analysts, and thrive across the full spectrum of ECM and M&A deals across the MENA region.<br>Responsibilities:Own the full M&A lifecycle through to close Lead financial modelling, deal structuring, and valuation across buy side and sell side deals Prepare and present pitch books, IM's, and board material to the highest standard<br>Requirements:3+ years of M&A experience at a tier 1 bulge bracket or elite boutique, a strong Senior Analyst ready to make the step up Excellent academic record from a top University; MBA or CFA preferred Proven ability to run complex deal execution at the highest quality level independently Broad and varied M&A deal experience in the region is highly preferred <br>This is a rare opportunity to work for a tier investment firm, they are offering a competitive package and relocation support.<br>If you meet the above criteria and would like to learn more, please follow the link to apply directly.
<h2 class="h5">Job description</h2>
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<p>• Programmer/Analyst for design, development, testing, rollout and implementation.</p><br><p>• Analysis, Design & Development of software solutions, </p><br><p>• participate in development of technical specifications.</p><br><p>• Fair Product knowledge of various treasury products like FX, Money Markets, Capital Markets, Derivatives ( FX, IR, Equity & Commodity) .</p><br><p>• Subject Matter Expert (SME) in Fusion Risk.</p><br><p>• Fair knowledge and hands on experience on Fusion Kondor FO module. </p><br><p>• Hands-on experience in implementing various risk functions in Fusion Risk Module (Market & Credit ) - FRTB, PEF, VaR, IRRB, CVA, Collateral management ( IM, VM), LCR, NSFR etc...</p><br><p>• Fair knowledge of functionalities like Financial reports, Position and P&L reports and mechanisms, yield Curves - setup and usage in various instruments </p><br><p>• Good Knowledge in payment messages SWIFT standards (ISO 20022) and payment validation workflow configuration </p><br><p>• Custom development: Evaluation of additional requirements of screen layouts and data captures through Addition / Modification of various “Kustom” windows and procedures.</p><br><p>• Strong Analytical & Logical skills</p><br><p>• Good Knowledge of SQL & shell scripting, Linux, Sybase ASE, XML </p><br><p>• Knowledge of standard SDLC process</p><br><p>• Hands-on experience in development, enhancements, and support of various other mission critical banking systems.</p><br><p>• Strong technical skill in Linux, Sybase ASE</p><br><p>• Fair knowledge in Java programming & OpenShift/Kubernetes is added advantage </p><br><p>• Experience in Murex is added advantage </p><br> </div><h2 data-automation-id="subHeaderPreferredCandidate" class="h5">
Preferred candidate </h2>
<div class="row is-m v-align-top t-small bg-mute">
<div class="col is-3 p5" data-automation-id="label_Years_of_experience">
<b>Years of experience</b>
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No experience required </div>
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<div class="col is-3 p5" data-automation-id="label_Degree">
<b>Degree</b>
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<div class="col is-9 p5" data-automation-id="data_Degree">
Bachelor's degree / higher diploma </div>
</div>
<h2 class="h5">Job description</h2>
<div class="t-break" data-jb-field="description">
<p>• Programmer/Analyst for design, development, testing, rollout and implementation.</p><br><p>• Analysis, Design & Development of software solutions, </p><br><p>• participate in development of technical specifications</p><br><p>• Fair Product knowledge of various treasury products like FX, Money Markets, Capital Markets, Derivatives ( FX, IR, Equity & Commodity) .</p><br><p>• Expert (SME) in Fusion Kondor BO(K+TP) and its integration to other systems</p><br><p>• Past experience of implementing full fledge Accounting products in K+TP/Kondor</p><br><p>• SME in Accounting configuration</p><br><p>• Fair Knowledge of implementing on IAS 39 & IFRS 9 on Kondor Trade Processing (KTP), preferable. </p><br><p>• Expertise in Treasury Products business process.</p><br><p>• Good Knowledge in payment messages SWIFT standards (ISO 20022) and payment validation workflow configuration </p><br><p>• Hands-on development & Support experience on Fusion Kondor suite (Front to Back)</p><br><p>• Custom development: Evaluation of additional requirements of screen layouts and data captures through Addition / Modification of various “Kustom” windows and procedures.</p><br><p>• Strong Analytical & Logical skills</p><br><p>• Good Knowledge of SQL & shell scripting, Linux, Sybase ASE, XML </p><br><p>• Knowledge of standard SDLC process</p><br><p>• Hands-on experience in development, enhancements, and support of various other mission critical banking systems.</p><br><p>• Strong technical skill in Linux, Sybase ASE</p><br><p>• Fair knowledge in Java programming & OpenShift/Kubernetes is added advantage </p><br><p>• Experience in Murex is added advantage </p><br> </div><h2 data-automation-id="subHeaderPreferredCandidate" class="h5">
Preferred candidate </h2>
<div class="row is-m v-align-top t-small bg-mute">
<div class="col is-3 p5" data-automation-id="label_Years_of_experience">
<b>Years of experience</b>
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<div class="col is-9 p5" data-automation-id="data_Years_of_experience">
No experience required </div>
</div>
<div class="row is-m v-align-top t-small ">
<div class="col is-3 p5" data-automation-id="label_Degree">
<b>Degree</b>
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<div class="col is-9 p5" data-automation-id="data_Degree">
Bachelor's degree / higher diploma </div>
</div>
Job Description:<br><br>Qualifications, Skills & Experience:<br><br>Education: Minimum Diploma in Aircraft maintenance specialty or recognized aviation training program in respective field/specialty (Minimum 2 years). Licensing: EASA Part 66/ FAA License is preferred. Technical Experience: Minimum 5 years proven experience (Military or Civilian) in H145 Maintenance. Instructional Experience: Minimum 3 years proven experience as a Technical Instructor. Type Rating: Type rating in H145 by an approved organization from the OEM. Curriculum Development: Experience in developing and instructing OJT (On-the-Job Training) curriculum in the respective field for both fresh and advanced maintenance technicians. Training Aids: Experience in developing teaching aids such as charts, graphs, handouts, overheads, and slides to facilitate technical training courses. Supervision & Administration: * Experience in directly supervising new maintenance technicians during training evaluations. Conversant with Microsoft Office Suite to maintain training records in adherence to PSS/GSAC policies and procedures. Technical Writing: 3 years in a technical writing position is preferred. Specialty Qualification: Preferred to be qualified as a Level-7 in related specialties of logistics, maintenance, and training. Certification: Must have an instructor qualification/course certificate from a recognized organization. Language Proficiency: * For non-native speakers, a minimum IELTS 6.0 or equivalent is required. Alternatively, English language skills will be evaluated during the PSS/GSAC interview. Software Skills: Have working knowledge of office automation tools such as MS Office.<br>Mandatory Requirements:<br><br>All requirements and information in the CV must be proven by a copy of an official document. Pass the PSS/GSAC interview (attended physically or online). Pass the security clearance from the KSA government.<br><br>This job requires an awareness of any potential compliance risks and a commitment to act with integrity, as the foundation for the Company’s success, reputation and sustainable growth.<br><br>Company:<br><br>Airbus Helicopters Arabia for Aircraft Maintenance<br><br>Employment Type:<br><br>Fixed term<br><br>Experience Level:<br><br>Professional<br><br>Job Family:<br><br>Material Support & services<br><br>By submitting your CV or application you are consenting to Airbus using and storing information about you for monitoring purposes relating to your application or future employment. This information will only be used by Airbus.<br><br>Airbus is committed to achieving workforce diversity and creating an inclusive working environment. We welcome all applications irrespective of social and cultural background, age, gender, disability, sexual orientation or religious belief.<br><br>Airbus is, and always has been, committed to equal opportunities for all. As such, we will never ask for any type of monetary exchange in the frame of a recruitment process. Any impersonation of Airbus to do so should be reported to emsom@airbus.com .<br><br>At Airbus, we support you to work, connect and collaborate more easily and flexibly. Wherever possible, we foster flexible working arrangements to stimulate innovative thinking.
Job Description:<br><br>Qualifications, Skills & Experience:<br><br>Education: Minimum Diploma in Aircraft maintenance specialty or recognized aviation training program in respective field/specialty (Minimum 2 years). Licensing: EASA Part 66/ FAA License is preferred. Technical Experience: Minimum 5 years proven experience (Military or Civilian) in H145 Maintenance. Instructional Experience: Minimum 3 years proven experience as a Technical Instructor. Type Rating: Type rating in H145 by an approved organization from the OEM. Curriculum Development: Experience in developing and instructing OJT (On-the-Job Training) curriculum in the respective field for both fresh and advanced maintenance technicians. Training Aids: Experience in developing teaching aids such as charts, graphs, handouts, overheads, and slides to facilitate technical training courses. Supervision & Administration: * Experience in directly supervising new maintenance technicians during training evaluations. Conversant with Microsoft Office Suite to maintain training records in adherence to PSS/GSAC policies and procedures. Technical Writing: 3 years in a technical writing position is preferred. Specialty Qualification: Preferred to be qualified as a Level-7 in related specialties of logistics, maintenance, and training. Certification: Must have an instructor qualification/course certificate from a recognized organization. Language Proficiency: * For non-native speakers, a minimum IELTS 6.0 or equivalent is required. Alternatively, English language skills will be evaluated during the PSS/GSAC interview. Software Skills: Have working knowledge of office automation tools such as MS Office.<br>Mandatory Requirements:<br><br>All requirements and information in the CV must be proven by a copy of an official document. Pass the PSS/GSAC interview (attended physically or online). Pass the security clearance from the KSA government.<br><br>This job requires an awareness of any potential compliance risks and a commitment to act with integrity, as the foundation for the Company’s success, reputation and sustainable growth.<br><br>Company:<br><br>Airbus Helicopters Arabia for Aircraft Maintenance<br><br>Employment Type:<br><br>Fixed term<br><br>Experience Level:<br><br>Professional<br><br>Job Family:<br><br>Material Support & services<br><br>By submitting your CV or application you are consenting to Airbus using and storing information about you for monitoring purposes relating to your application or future employment. This information will only be used by Airbus.<br><br>Airbus is committed to achieving workforce diversity and creating an inclusive working environment. We welcome all applications irrespective of social and cultural background, age, gender, disability, sexual orientation or religious belief.<br><br>Airbus is, and always has been, committed to equal opportunities for all. As such, we will never ask for any type of monetary exchange in the frame of a recruitment process. Any impersonation of Airbus to do so should be reported to emsom@airbus.com .<br><br>At Airbus, we support you to work, connect and collaborate more easily and flexibly. Wherever possible, we foster flexible working arrangements to stimulate innovative thinking.
<h2 class="h5">Job description</h2>
<div class="t-break" data-jb-field="description">
<span>Responsible for controlling the financial performance of Last Mile operations by monitoring costs, ensuring financial accuracy, supporting budgeting and forecasting, and providing insights to improve operational efficiency and profitability.<br> Responsibilities Monitor Last Mile operational costs and budgets.<br> Review and validate supplier, contractor, and delivery partner payments.<br> Analyze costs and identify savings opportunities.<br> Prepare financial and operational performance reports.<br> Conduct budget variance analysis and investigate discrepancies.<br> Monitor financial KPIs and ensure data accuracy.<br> Support month-end closing, budgeting, and forecasting.<br> Develop dashboards using Power BI and Excel.<br> Partner with Operations to improve cost efficiency and financial controls.<br> Ensure compliance with company financial policies.<br> Bachelor's degree in Finance, Accounting, Business, Economics, or a related field.<br> 3+ years of experience in Finance, Cost Control, Financial Analysis, or Logistics Finance.<br> Advanced Excel and Power BI skills.<br> Strong analytical, reporting, and problem-solving abilities.<br> Experience in logistics, retail, FMCG, or e-commerce.<br></span> </div><h2 data-automation-id="subHeaderPreferredCandidate" class="h5">
Preferred candidate </h2>
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<b>Years of experience</b>
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<div class="col is-9 p5" data-automation-id="data_Years_of_experience">
No experience required </div>
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<div class="col is-3 p5" data-automation-id="label_Degree">
<b>Degree</b>
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<div class="col is-9 p5" data-automation-id="data_Degree">
Bachelor's degree / higher diploma </div>
</div>
<h3 >About the Role</h3>
<p >Taj HR is seeking a <strong >Function Head - Finance & Accounting</strong> to oversee the financial management, business analysis, and strategic financial planning for Unified Real Estate Development (URED) and its subsidiaries. This full-time role ensures financial feasibility, regulatory compliance, and the secure financial future of the organization, aligning with its mission and Saudi Vision 2030 objectives. The incumbent will lead the Finance & Accounting team, drive digital transformation of financial processes, and serve as a primary business partner to the CFO and executive leadership.</p>
<h3 >Key Responsibilities</h3>
<ul >
<li >Lead the Finance & Accounting function, providing strategic oversight and governance across FP&A, Accounting, Tax, and Treasury.</li>
<li >Prepare and manage annual business plans, manpower plans, and departmental budgets for the Finance function.</li>
<li >Establish and monitor measurable KPIs for the Finance & Accounting team, driving accountability and performance.</li>
<li >Drive the digital transformation of finance operations, including automation via Yardi, real-time Power BI dashboards, and AI-assisted reporting tools.</li>
<li >Oversee the preparation and review of monthly, quarterly, and annual financial statements in compliance with IFRS and Saudi GAAP.</li>
<li >Ensure compliance with all applicable regulatory frameworks, including VAT, Zakat, WHT, and ZATCA e-invoicing requirements.</li>
<li >Lead all statutory audit processes, manage external auditor relationships, and resolve audit findings.</li>
<li >Manage treasury operations, including cash flow planning, banking relationship management, and credit facility oversight.</li>
<li >Provide financial analysis and insights to support decisions on property acquisitions, development feasibility, lease pricing, and capital allocation.</li>
<li >Collaborate with department heads on budget management, cost controls, and financial performance improvement.</li>
<li >Lead, coach, and develop the Finance & Accounting team, building capability and succession plans.</li>
</ul>
<h3 >Qualifications and Requirements</h3>
<ul >
<li >A minimum of 10 years of experience in finance and accounting roles.</li>
<li >Demonstrated experience in strategic financial leadership and team management.</li>
<li >Strong understanding of IFRS, Saudi GAAP, and local regulatory frameworks (VAT, Zakat, WHT, ZATCA).</li>
<li >Experience with digital transformation initiatives in finance, including ERP systems (*, Yardi), Power BI, and AI-assisted tools.</li>
<li >Ability to provide executive-level reporting and strategic financial analysis.</li>
</ul>
<h3 >Frameworks and Decision-Making Authority</h3>
<p >This role reports directly to the CFO & VP Support Services. The Function Head reviews and validates payment requests up to SAR 500,000 per transaction, with final approval resting with the CEO in accordance with URED DoA. Authority extends to approving departmental operational expenditure within the approved annual budget, as well as team leave, performance appraisals, and departmental headcount plans. The incumbent proposes changes to financial policies, procedures, and internal controls for CFO and CEO approval and is accountable for function-level financial accuracy, compliance, and reporting performance.</p>
<h3 >Key Performance Indicators</h3>
<ul >
<li >Monthly financial statements delivered to the CFO by the 10th working day of the following month.</li>
<li >Annual budget submission completed within the agreed timeline (100% on time).</li>
<li >Zero material audit qualifications or regulatory penalties in the financial year.</li>
<li >All ZATCA VAT and Zakat filings submitted before statutory deadlines (100% compliance).</li>
<li >Finance function fully staffed and performing against individual KPIs.</li>
<li >At least 2 finance process improvement initiatives implemented per financial year.</li>
<li >Real-time financial dashboards live and maintained for all key business units via Power BI.</li>
</ul>
<h3 >Internal and External Communications</h3>
<p >Internal communication involves regular interaction with the CFO & VP Support Services, Finance Managers (Accounting & Tax, FP&A), Chief Accountant, all Department Heads, Legal & Compliance, HR, IT Department, and Property Management (UAPM). External communications include engagement with External Auditors, ZATCA, Banking Partners, Tax and Legal Advisors, the Board of Directors/Audit Committee, Investors, and Financing Institutions.</p>
<h3 >Role Overview</h3>
<p >Almoosa Health Group is seeking a qualified <strong >Accounting Manager</strong> to join its finance team in Al Hafuf, Eastern region. This full-time position is central to managing the group's financial reporting and accounting operations, ensuring accuracy and compliance within a healthcare environment.</p> <h3 >Key Responsibilities</h3>
<ul >
<li >Oversee periodical financial closing processes for management reporting.</li>
<li >Perform account reconciliations and maintain the general ledger.</li>
<li >Review general ledger accounts and execute necessary journal entries, including monthly, quarterly, and yearly postings for accruals and provisions.</li>
<li >Support statutory audit requirements and provide necessary assistance to external auditors.</li>
<li >Conduct reconciliations with related parties.</li>
<li >Review payroll, staff incentives, and benefits, and manage payment processing.</li>
<li >Perform other accounting duties as assigned by the department head.</li>
<li >Provide personalized coordinated care and support for staff.</li>
</ul> <h3 >Educational Qualifications</h3>
<ul >
<li >Bachelor’s degree in Accounting.</li>
<li >Professional certification such as CA, CPA, or ACCA is preferred.</li>
</ul> <h3 >Required Professional Experience</h3>
<ul >
<li >Minimum of <strong >6 years</strong> of relevant professional experience in accounting and financial reporting.</li>
<li >Demonstrated experience in financial consolidation and monthly financial closing processes.</li>
<li >Previous experience with a Big Four accounting firm (EY, KPMG, Deloitte, or PwC) is preferred.</li>
</ul> <h3 >Technical Skills and Industry Preference</h3>
<ul >
<li >Hands-on experience with <strong >Oracle</strong>.</li>
<li >Strong understanding of <strong >VAT</strong> and its related accounting requirements.</li>
<li >Experience within the healthcare industry is preferred.</li>
</ul> <h3 >Application Details</h3>
<p >This full-time Accounting Manager position at Almoosa Health Group offers an opportunity to contribute significantly to our financial operations. We invite qualified candidates to submit their applications.</p>
<div dir="rtl"><h3 >نبذة عن الدور</h3>
<p >تبحث شركة رسن المتحدة للاستثمار عن <strong >أمين صندوق</strong> للانضمام إلى فريقها في مدينة جدة، بمنطقة مكة المكرمة. يركز هذا الدور بدوام كامل على إدارة التخطيط المالي للمؤسسة، بما في ذلك إدارة التدفقات النقدية والسيولة والتمويل، بالإضافة إلى إجراء تحليلات دقيقة للمخاطر المرتبطة بالسيولة وأسعار الفائدة والعملات. يتطلب الدور خبرة تتراوح بين 0-1 سنة، مما يجعله فرصة مثالية للمهنيين الطموحين في بداية مسيرتهم المهنية.</p> <h3 >المهام والمسؤوليات الرئيسية</h3>
<ul >
<li >إدارة الأرصدة النقدية اليومية وتحليل التدفق النقدي من العمليات والاستثمار والتمويل.</li>
<li >ضمان كفاية التدفقات النقدية وتوقع المدفوعات النقدية والتنبؤ بالمشكلات المحتملة الناتجة عن محدودية التدفق النقدي.</li>
<li >تحليل متطلبات رأس المال للعمليات التجارية والمعاملات والالتزامات الأخرى.</li>
<li >تقديم الدعم في تطوير سياسات وإجراءات الرقابة الداخلية المتعلقة بإدارة الموازنة والنقد والائتمان والمحاسبة.</li>
<li >تحليل وإدارة المخاطر المرتبطة بالتدفقات النقدية، وإجراء تحليل الحساسية لتقييم تقلبات التدفقات النقدية فيما يتعلق بالمخاطر التشغيلية والتمويلية.</li>
<li >تحليل وتحديد خيارات شروط التمويل لتلبية الاحتياجات التشغيلية والاستثمارية، والسعي للحصول على مصادر التمويل والتفاوض حول شروطها.</li>
</ul> <h3 >إدارة التدفقات النقدية والسيولة</h3>
<p >يتولى أمين الصندوق مسؤولية حيوية في الإدارة اليومية للأرصدة النقدية وتحليل التدفقات النقدية الشاملة الناتجة عن العمليات والاستثمارات والتمويل. يضمن الدور كفاية السيولة لتلبية الالتزامات التشغيلية، ويقوم بتوقع المدفوعات النقدية المستقبلية، ويحدد المشكلات المحتملة التي قد تنشأ عن قيود التدفق النقدي لضمان استقرار الوضع المالي للمؤسسة.</p> <h3 >تحليل المخاطر والتمويل</h3>
<p >يشمل الدور تحليل المخاطر المرتبطة بالتدفقات النقدية وإدارتها بفعالية، بما في ذلك إجراء تحليل الحساسية لتقييم مدى تأثر التدفقات النقدية بالتقلبات التشغيلية والتمويلية. كما يتضمن تحليل وتحديد أفضل خيارات وشروط التمويل التي تتناسب مع الاحتياجات التشغيلية والاستثمارية للشركة، والسعي بنشاط للحصول على مصادر التمويل والتفاوض بشأن شروطها لضمان الدعم المالي اللازم.</p> <h3 >المؤهلات والخبرات</h3>
<ul >
<li >خبرة عملية تتراوح بين 0 إلى 1 سنة في مجال ذي صلة.</li>
<li >فهم قوي لمبادئ الإدارة المالية والتدفقات النقدية.</li>
<li >القدرة على تحليل البيانات المالية وتحديد المخاطر.</li>
</ul> <h3 >بيئة العمل</h3>
<p >هذه الوظيفة بدوام كامل ومقرها في جدة، مكة المكرمة، ضمن فريق شركة رسن المتحدة للاستثمار. الراتب غير معلن عنه في الوقت الحالي.</p></div>
<p>The Finance Director leads the VRS Finance function within VRS Shared Services, overseeing all financial operations including Accounting, Budgeting & Forecasting, and Financial Reporting. This role ensures sound financial management, regulatory compliance, and strategic financial support to enable optimal organizational performance aligned with Visit Red Sea s long-term goals.</p><p><b><br></b></p><p><b>Key Responsibilities:</b></p><ol><li>Financial Leadership & Strategy Provide strategic financial direction and insights to senior leadership and the VRS Shared Services team. Align financial planning with Visit Red Sea s organizational goals and long-term strategy. Act as a trusted financial advisor to the Head of VRS Shared Services and other division heads.</li><li>Accounting & Compliance Oversee all accounting operations ensuring accuracy, integrity, and compliance with applicable regulations and standards. Ensure timely month-end and year-end close processes. Maintain internal controls and ensure adherence to financial policies and procedures.</li><li>Budgeting & Forecasting Lead the annual budgeting process across VRS Shared Services departments. Develop and manage rolling forecasts, variance analyses, and financial models. Partner with department heads to monitor budget performance and recommend corrective actions.</li><li>Financial Reporting Oversee the preparation and delivery of accurate and timely financial reports for internal and external stakeholders. Present financial results, key metrics, and recommendations to senior management. Ensure compliance with statutory and regulatory reporting requirements.</li><li>Team Management Lead, mentor, and develop the VRS Finance team including Accounting, Budgeting & Forecasting, and Financial Reporting sections. Set clear performance objectives and conduct regular performance reviews. Foster a high-performance, collaborative finance culture.</li></ol><p><strong>Desired Candidate Profile</strong></p><p>Bachelor s degree in Finance, Accounting, or a related field (required). Master s degree in Finance, Business Administration (MBA), or equivalent (preferred). Professional certification: CPA, CFA, ACCA, or CIMA (highly preferred). Minimum 10 years of progressive finance experience, with at least 5 years in a senior finance leadership role. Proven experience in a shared services, hospitality, tourism, or government-related environment is an advantage. Strong background in financial planning, accounting, and reporting within large-scale organizations. Key Competencies: Strategic thinking and financial acumen. Strong leadership and team development skills. Excellent analytical and problem-solving abilities. High proficiency in financial systems and ERP platforms (SAP, Oracle, or equivalent). Strong communication and stakeholder management skills. High integrity and commitment to governance and compliance. Ability to work in a dynamic, fast-paced environment aligned with Saudi Vision 2030 objectives.</p>
<h2 class="h5">Job description</h2>
<div class="t-break" data-jb-field="description">
<br>Company Description<br><br><p>Join a hotel that is a member of the Accor network, whose group brings together more than 45 brands, 5,500 hotels, 10,000 restaurants and lifestyle destinations. Here, we believe in you and what you bring to the table. There are many opportunities for development and advancement. Every gesture, every smile, every action, contributes to creating a positive and memorable impact for our customers, our colleagues and also for our planet. Together, we embody the vision of responsible hospitality.</p><br><p>Take the opportunity to become a Heartist®, and let your heart guide you in this world where life beats faster.</p><br><br>Job Description<br><br><p>We are seeking an experienced and strategic Cluster Director of Finance to lead financial operations across our cluster in Riyadh, Saudi Arabia. In this pivotal leadership role, you will oversee all financial functions, drive strategic initiatives, and ensure fiscal excellence across multiple locations. The ideal candidate will demonstrate exceptional financial acumen, decisive leadership, and a commitment to organizational growth and profitability.</p><br><ul><li>Oversee all financial operations and accounting functions across the cluster, ensuring accuracy, compliance, and efficiency</li><li>Develop and manage comprehensive budgets, financial forecasts, and long-term financial strategies aligned with organizational objectives</li><li>Monitor and analyze financial performance metrics, identifying opportunities for cost optimization and revenue enhancement</li><li>Lead, mentor, and develop a high-performing finance team, fostering a culture of excellence and continuous improvement</li><li>Prepare and present detailed financial reports and analyses to senior management and stakeholders</li><li>Ensure compliance with local regulations, international financial standards, and internal policies</li><li>Manage risk assessment and mitigation strategies related to financial operations</li><li>Collaborate with operational leaders to support business decision-making through financial insights and analysis</li><li>Implement and optimize financial systems and processes to enhance operational efficiency</li><li>Maintain strong stakeholder relationships and communicate financial performance to internal and external parties</li></ul><br>Qualifications<br><br><ul><li>Minimum 10+ years of progressive experience in financial management, with at least 5 years in a senior leadership role</li><li>Proven expertise in managing multi-site or cluster financial operations</li><li>Strong proficiency in financial analysis, budgeting, forecasting, and P&L management</li><li>Advanced knowledge of financial reporting, accounting principles, and regulatory compliance</li><li>Demonstrated experience with ERP systems and financial management software</li><li>Exceptional analytical and problem-solving skills with strong attention to detail</li><li>Excellent leadership and team management capabilities</li><li>Advanced proficiency in Microsoft Excel and financial modeling</li><li>Strong communication and presentation skills</li><li>Experience in cost optimization and operational efficiency improvement</li><li>Preferred: Familiarity with the Saudi Arabian business environment and regional financial practices</li><li>Preferred: Knowledge of international financial standards and best practices</li><li>Preferred: Experience in cluster or multi-location organizational structures</li></ul><br>Additional Information<br><br><p>Your team and working environment:<br>In 1-2 sentences, introduce the team, property or office environment in a way that reflects the culture<br>Note: Customization may be included for any specific local or legislative requirements, such as work permits<br>Our commitment to Diversity & Inclusion:<br>We are an inclusive company and our ambition is to attract, recruit and promote diverse talent.</p><br> </div><h2 data-automation-id="subHeaderPreferredCandidate" class="h5">
Preferred candidate </h2>
<div class="row is-m v-align-top t-small bg-mute">
<div class="col is-3 p5" data-automation-id="label_Years_of_experience">
<b>Years of experience</b>
</div>
<div class="col is-9 p5" data-automation-id="data_Years_of_experience">
5+ years </div>
</div>
<div class="row is-m v-align-top t-small ">
<div class="col is-3 p5" data-automation-id="label_Degree">
<b>Degree</b>
</div>
<div class="col is-9 p5" data-automation-id="data_Degree">
Bachelor's degree / higher diploma </div>
</div>