*Treasury Professionals - We’re Hiring!*
Almana Group is looking for a Treasury & Insurance Specialist to join our Group Treasury team.
We’re looking for someone with hands-on experience in:
• Cash position & liquidity monitoring
• Cash-flow forecasting & variance analysis
• Treasury reporting and financial data consolidation
• Insurance policy administration, renewals & claims coordination
What we’re looking for:
• 3–5 years of relevant Treasury / Cash Management experience
• Strong Excel and analytical skills
• Experience preparing cash-flow forecasts and treasury reports
• Exposure to corporate insurance is an advantage
If you’re a detail-oriented finance professional who enjoys working with cash flow, liquidity, and treasury operations, we’d like to hear from you.
Interested? Click the link below to view the opportunity and apply:
https://lnkd.in/e-b4yXSd
Know someone who could be a good fit? Feel free to share.

September 7, 2026 240 1