Current jobs related to Treasury Operations Specialist - Jeddah - Islamic Development Bank


  • Jeddah, Saudi Arabia Emprego SA Full time

    -Islamic Development BankJeddah, Saudi ArabiaSave Posted 1 day ago Permanent Competitive - IDB3463 - Treasury Operations Specialist **JOB PURPOSE** To handle the back-office functions, including processing and settlement of transactions while ensuring accuracy and timely execution, and to ensure proper generation of daily, weekly, and monthly reports....


  • Jeddah, Makkah Province, Saudi Arabia Petromin Corporation Full time

    We are looking for a detail-oriented and proactive Accountant/Treasury Officer to join our finance team. The ideal candidate will have 2–3 years of relevant experience in accounting or treasury operations, with strong skills in bank transaction processing, online banking portals, and cash management. This role supports daily financial activities including...

  • Treasury

    1 week ago


    Jeddah, Saudi Arabia Bupa Arabia Full time

    Role Purpose: The Treasury Senior Associate is a pivotal role within our organization, dedicated to managing and optimizing treasury operations. This position is instrumental in ensuring efficient cash management, liquidity planning, and risk mitigation strategies. The Treasury Senior Associate collaborates closely with internal teams, financial...

  • Treasury Accountant

    2 weeks ago


    Jeddah, Makkah Province, Saudi Arabia NICE ONE | نايس ون Full time

    Join Nice one, Saudi Arabia's leading digital home retail brand, as a Treasury Accountant at our Riyadh headquarters. In this key finance role, you will help optimize cash management, support crucial decision-making, and ensure robust treasury operations that fuel our growth. We champion responsibility, accountability, and inclusion—inviting dedicated...

  • Senior Analyst

    7 days ago


    Jeddah, Saudi Arabia Chalhoub Group Full time

    **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...

  • Treasury Manager

    1 week ago


    Jeddah, Makkah Province, Saudi Arabia flyadeal Full time

    The role is responsible for managing daily treasury operation including -but not limited to- financing, cash recycling/ investment, foreign currency risk identification and/or mitigation. Developing and implementing short/ long term cash flow forecast.Key ResponsibilitiesReview, improve and document banks, cash and liquidity management and business...

  • Market Intelligence

    1 week ago


    Jeddah, Saudi Arabia Soar Software Development Company Full time

    **About us**: Soar is a global fintech startup that specializes in financing and investment. Currently headquartered in Saudi Arabia, Soar is growing throughout the region with a mission to help people achieve their financial goals with innovative financial and property investment solutions and tools through its multi-purpose platform, designed to offer a...

  • Accounting Specialist

    2 weeks ago


    Jeddah, Saudi Arabia TotalEnergies Full time

    **Contexte et environnement***: The Accounting Specialist will be part of a high-performing finance team based at our Head Office. This role supports the organization’s financial integrity by managing core accounting functions and collaborating with cross-functional teams including operations, treasury, and audit. The work environment is structured,...


  • Jeddah, Saudi Arabia Islamic Development Bank Full time

    Role Purpose To provide support on the day to day activities of the Fixed Income, Treasury & Institutional Legal Affairs Division (“**FITILA Division”)** of the Legal department (“**LD**”) of ICD and ensure the provision of legal services in a timely and efficient manner. The principal objective of the LD is to protect the interests of ICD and to...


  • Jeddah, Saudi Arabia Islamic Development Bank Full time

    Role Purpose To provide support on the day to day activities of the Fixed Income, Treasury & Institutional Legal Affairs Division (“**FITILA Division”)** of the Legal department (“**LD**”) of ICD and ensure the provision of legal services in a timely and efficient manner. The principal objective of the LD is to protect the interests of ICD and to...

Treasury Operations Specialist

2 weeks ago


Jeddah, Saudi Arabia Islamic Development Bank Full time

JOB PURPOSE

To handle the back-office functions, including processing and settlement of transactions while ensuring accuracy and timely execution, and to ensure proper generation of daily, weekly, and monthly reports. Reconciliations of cash positions and reporting discrepancies between executions and positions are needed to prevent any potential loss to ICIEC and support in the proper accounting of the investment transactions.

KEY RESPONSIBILITIES

Core Responsibilities

Money Market Settlement
- Process/validate deal tickets in the Treasury Operating System (Fusion Invest-MISYS) and ensure accuracy of all execution details on given value dates and before the cut off times.
- Generate the Swift messages using the Treasury Operating System and confirm their accuracy before their release.
- Interact with counterparties for timely submission of investment confirmations and follow approved escalation level in case of delayed confirmations.
- Ensure the proper sequence in sending and receiving the documents/schedules.
- Review the weekly maturity reports and issue notices to receive relevant Swift messages (MT210s).
- Check and monitor the Confirmation blotter in the Treasury System.

Sukuk Settlement
- Settlement of new sukuk purchase through the custodian account (Euroclear/Clear Stream) after all necessary approvals have been obtained and confirming the details of the security purchased to be accurate.
- Process/Validate deal tickets in the Treasury System and ensure accuracy of all generated Swift messages (MT202, MT210, MT541, MT543, etc.)
- Interact with counterparties for timely submission of investment confirmations and follow approved escalation level in case of delayed confirmations.
- Monitor and process the coupon (and any other profit distribution) payments in the Treasury System and with both Nostro and custodian accounts.
- Generate and monitor all distributions-related Swift messages (MT202, MT 210 etc.)

Non-Investment related settlements
- Process/Validate settlement instructions (BCM + SWIFT) after validating required approvals.
- Ensure documentation of all settlements including swift settlement confirmation.
- Interact with counterparties and banks for timely submission of confirmations and follow approved escalation level in case of delayed settlements.

FX Settlement
- Settlement of FX purchase/sell transactions with counterparties.
- Process/validate deal tickets in the Treasury System and ensure accuracy of all execution details on given value dates and before the cut-off times.
- Generate relevant Swift messages using the Treasury System and confirm their accuracy before their release.
- Ensure using the correct SSI.
- Ensure availability of sufficient balances for any required transactions.

Nostro accounts management
- Daily monitoring of ICIEC nostro accounts and update the balances.
- Process / validate any fund manager request regarding replenish/transfer cash between Nostro accounts by processing the request.
- Double check and confirm all cash transfer requests in Swift.
- Ensure execution of all cash transfer on the correct value dates and before the cut-off time.

Reconciliation and Reporting
- Daily reconciliation of ICIEC nostro accounts and update the balances.
- Reconcile securities positions with the custodian account.
- Daily, weekly, and monthly reconciliation of transactions and preparation of reports.
- Reconcile all daily trading activities to ensure proper and timely settlement of all trades.
- Monitor static data maintained in the Treasury systems (SSIs, Top Level Issuer, etc) and follow proper processes to update them if needed.
- Ensure that all investment-related transactions and parameters are accurately reflected in MISYS.

Accounting for Investments
- Ensure proper records of investment transactions.
- Reconcile all investments positions.
- Reconciliation of income generated from investments.
- Support proper accounting of all investment positions.

ALM and other tasks
- Assist in managing the liquidity risk by monitoring cash flows and performing periodic liquidity gap analysis across the Corporation liabilities and assets.
- Prepare and reconcile Euro Net open positions with underlying records.
- Support the assessment of any interest rate, FX, and duration mismatch between the Corporation liabilities and assets.
- Participate in ad hoc tasks within the Department (such as: Annual Budget preparation, annual report preparation, financial projections, reconciliation, bank relationship etc.).

JOB REQUIREMENTS
**Field of Study**: Finance/Investment or any related field.

**Academic Qualifications and Relevant Experience**: 3 Years for Bachelor's Degree holder or 1 Year for Master's Degree holder.

**Nature of Experience**: Relevant experience in Islamic Treasury Back-office settlements.

**Professional Certifications (as applicable)**:Relevant certifications such as ACI-Back Office, Certified Treasury Professional (CTP).

**Business Language Skills**: Good c