
Tamara
Treasury Operations Analyst – Builders Program
- Permanent
- Riyadh, Saudi Arabia
- Experience 0 - 2 yrs
Job overview
Date posted
16/03/2026
Location
Riyadh, Saudi Arabia
Salary
SAR 10,000 - 15,000 per month
Compensation
Salary only
Experience
0 - 2 yrs
Seniority
Entry level
Qualification
Bachelors degree
Expiration date
30/04/2026
Job description
The Treasury Operations Analyst in Tamara’s Builders Program is an early-career role designed to provide hands-on experience across treasury functions. Analysts contribute to funding initiatives, liquidity management, risk monitoring, and financial operations, while collaborating with investment banks, rating agencies, and internal stakeholders to support capital raising and treasury objectives.
Required skills
Treasury operations and cash management
Capital raising support and securitization execution
Balance sheet monitoring and interest rate risk analysis
Foreign exchange execution and currency risk mitigation
Liquidity management and stress testing
Financial modeling and quantitative analysis
Data interpretation and trend identification
Microsoft Excel and PowerPoint proficiency
Collaboration and cross-functional communication
Adaptability in dynamic, fast-paced environments
Key responsibilities
- Support the execution of securitizations (ABS) and warehouse financing facilities.
- Collaborate with investment banks and rating agencies to present AI-driven credit models.
- Analyze market trends to identify optimal debt issuance timing.
- Monitor interest rate risks and assist in developing hedging strategies.
- Optimize daily liquidity across multiple currencies and jurisdictions.
- Execute foreign exchange trades to mitigate currency exposure.
- Model liquidity stress tests to ensure obligations can be met under various market conditions.
- Analyze mismatches between long-term loans and short-term funding sources.
- Prepare reports and presentations on treasury metrics and activities.
Experience & skills
- Bachelor’s degree in Accounting, Finance, Engineering, Project Management, or related field.
- 0–2 years of experience in finance operations, treasury, or middle/back-office banking roles.
- Proficiency in Microsoft Excel and PowerPoint.
- Basic understanding of financial markets, capital raising, and treasury concepts.
- Strong analytical and quantitative problem-solving skills.
- Detail-oriented, organized, and dependable.
- Proactive, collaborative, and adaptable to a fast-paced work environment.
- Curiosity and eagerness to learn about treasury operations and financial markets.