
Red Sea Global
Senior Manager – General Ledger Controlling (Finance Operations & Treasury)
- Permanent
- Riyadh, Saudi Arabia
- Experience 10 - 15 yrs
Job expiry date: 10/03/2026
Job overview
Date posted
24/01/2026
Location
Riyadh, Saudi Arabia
Salary
SAR 40,000 - 50,000 per month
Compensation
Comprehensive package
Experience
10 - 15 yrs
Seniority
Senior Manager
Qualification
Professional qualification
Expiration date
10/03/2026
Job description
The Senior Manager – General Ledger Controlling at Red Sea Global leads the finance operations team responsible for ensuring accurate booking of all financial transactions and execution of treasury operations, including payables, collections, credit control, financial guarantees, bank funding, and cash management across all Group entities. The role ensures compliance with IFRS, internal policies, and KSA fiscal regulations, including VAT and Zakat. The position involves controlling, analyzing, and optimizing operating and financing cashflows, planning and forecasting liquidity requirements with the CFO, and servicing the bank debt and funding portfolio. The manager also oversees payroll, employee disbursements, business expenses, and reward mechanisms, and supports the implementation of SAP and other IT integrations. The role includes preparing statutory and corporate reports, MIS statements, and ensuring adherence to all internal functional policies, procedures, and reporting standards. Continuous improvement of department systems, processes, and practices is a key focus, with attention to international best practices, cost reduction, and productivity improvement. The position maintains key external relationships with banking partners, auditors, credit insurers, and tax advisors, and contributes to developing funding strategies, capital structure optimization, and securing bank facilities.
Required skills
Key responsibilities
- Lead and manage the finance operations team for accurate booking of all financial transactions and treasury operations
- Ensure compliance with IFRS, internal policies, controls, and KSA fiscal regulations including VAT and Zakat
- Execute treasury operations including payables, collections, credit control, financial guarantees, bank funding, cash management, and pooling
- Plan and forecast monthly cash flows to ensure adequate liquidity and optimize cost of funds
- Manage bank debt and funding portfolios, reviewing cash flows and tracking KPI performance versus covenants
- Support Corporate Commercial Finance and CFO in developing funding strategies and capital structure optimization
- Prepare KSA fiscal reports and ensure regulatory compliance
- Lead and develop the accounting team, ensuring high performance and continuous development
- Oversee payroll, employee disbursements, business expenses, and reward mechanisms for the Group
- Assist in implementing SAP and other IT integrations across finance and treasury functions
- Prepare accurate and timely functional MIS statements and reports
- Follow all relevant functional policies, standard operating procedures, and internal controls
- Identify opportunities for continuous improvement in systems, processes, practices, cost reduction, and productivity
- Build and maintain relationships with banks, statutory auditors, credit insurers, and tax advisors
Experience & skills
- Qualified Accountant from an IFAC-accredited institution
- Minimum 10 years of mid-level finance leadership experience in a multinational organization with suitable scale ($300M+ business)
- Extensive background in Accounting & Reporting, Accounting Operations, and Treasury Management
- Strong data analysis and financial interpretation skills
- Excellent presentation, interpersonal, and communication skills
- Superior attention to detail with the ability to manage multiple competing priorities
- Ability to implement and optimize financial systems and ERP tools (e.g., SAP)
- Strong organizational capabilities and proactive personality