
Al Rajhi Bank
Financial Reconciliation Associate Manager
- Permanent
- Riyadh, Saudi Arabia
- Experience 5 - 10 yrs
Job expiry date: 27/03/2026
Job overview
Date posted
11/02/2026
Location
Riyadh, Saudi Arabia
Salary
SAR 20,000 - 30,000 per month
Compensation
Comprehensive package
Experience
5 - 10 yrs
Seniority
Manager
Qualification
Bachelors degree
Expiration date
27/03/2026
Job description
The Financial Reconciliation Associate Manager role at Al Rajhi Bank is responsible for ensuring the accuracy, integrity, and efficiency of financial operations through the management of financial reconciliation activities, including bank reconciliation and general ledger reconciliation. The role oversees daily operational controls, manages accruals and liabilities cycles, and acts as a key business partner in maintaining and safeguarding the integrity of the ERP system. The position is focused on driving continuous process improvement initiatives, implementing automation solutions, and optimizing financial systems to enhance overall operational efficiency and financial accuracy. The role operates within the banking industry and supports core financial operations in Riyadh, Saudi Arabia, with a mandate to strengthen reconciliation controls, improve system reliability, and ensure accurate financial reporting through effective use of accounting and finance practices.
Required skills
Key responsibilities
- Manage and oversee financial reconciliation activities, including bank reconciliation and general ledger reconciliation, to ensure accuracy and integrity of financial records.
- Oversee daily operational controls to maintain efficiency, compliance, and reliability across financial operations.
- Manage accruals and liabilities cycles to ensure accurate financial recognition and reporting.
- Act as a key business partner to ensure the integrity and effective functioning of the ERP system.
- Drive process improvement initiatives to enhance reconciliation efficiency and financial accuracy.
- Implement and support automation initiatives within financial operations and reconciliation processes.
- Optimize financial systems and processes to improve operational efficiency and data accuracy.
Experience & skills
- Possess 5–7 years of professional experience in financial operations and financial reconciliation.
- Hold a Bachelor’s degree in accounting, finance, or a related field.
- Demonstrate hands-on experience managing bank reconciliation and general ledger reconciliation processes.
- Have experience overseeing daily operational controls within a financial operations environment.
- Show proven involvement in managing accruals and liabilities cycles.
- Have exposure to ERP systems with responsibility for system integrity, automation, and optimization initiatives.