Overview:
Sukna Capital is a dynamic financial institution specializing in alternative asset investments. We leverage data-driven insights and a technology-forward approach to drive superior returns across venture capital, private equity, debt, and real estate. Our commitment to excellence, combined with a global network of partners and experts, empowers us to unlock potential and deliver long-term value for our investors.
Job Summary:
The Treasury Officer will support the company’s treasury and cash management activities, ensuring effective liquidity management, banking operations, and financial controls. The role is suited for a finance professional with foundational treasury exposure within an investment or financial services environment.
Key Responsibilities:
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Monitor daily cash positions and ensure sufficient liquidity for operational and investment needs
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Manage bank accounts, including reconciliations, signatories, and coordination with relationship managers
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Support cash forecasting and short- to medium-term liquidity planning
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Work closely with investment, accounting, and operations teams to align cash flow planning
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Identify cash shortfalls or surpluses and propose appropriate actions
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Prepare cash flow reports and liquidity dashboards for management review
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Execute and track fund transfers, payments, and settlements in a timely manner
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Manage debt facilities, deposits, and short-term investments
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Support compliance with internal treasury policies and investment guidelines
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Prepare treasury-related reports, dashboards, and management summaries
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Coordinate with accounting, investment, and operations teams to ensure accurate cash and transaction recording
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Assist with FX transactions and exposure monitoring, if applicable
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Support audits, bank confirmations, and regulatory reporting related to treasury activities
Required Qualifications & Experience:
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Bachelor’s degree in Finance, Accounting, Economics, or a related field
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3–5 years of experience in treasury, finance, accounting, or a related role
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Basic understanding of treasury functions, cash management, and banking operations
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Exposure to investment companies, asset management firms, or financial institutions is preferred
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Familiarity with financial reporting and reconciliation processes
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Experience working with banks and financial service providers
Skills & Competencies
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Strong analytical and numerical skills
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Has an accounting experience
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Has experience in Microsoft Dynamics
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High attention to detail and accuracy
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Good understanding of financial statements and cash flows
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Proficiency in MS Excel and financial systems
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Strong communication and coordination skills
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Ability to work in a fast-paced, deadline-driven environment
Employment Type:
Full-time
Job Location:
Riyadh, Saudi.