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Sr. Manager Corporate Finance-Saudi Nationals

Al Jomaih Energy and Water

Energy & Utilities

πŸ“ Saudi Arabia
πŸ’Ό Full-time
πŸ•’ Posted 7 weeks ago

Job description

Role Overview

Sr. Manager Corporate Finance for Al Jomaih Energy and Water, headquartered in Saudi Arabia, based in Dammam, Saudi Arabia. This position supports the Head of Corporate Finance in managing financing activities, banking relationships, debt portfolio administration, corporate finance operations and strategic financing initiatives across AEW entities.

Company Overview

Al Jomaih Energy & Water (AEW) is a fast-growing investor, lead developer, and operator of utility and infrastructure projects across KSA, GCC, Asia and North Africa. AEW was established in 2007 as a subsidiary of Al Jomaih Holding Company, a leading Saudi conglomerate with a legacy spanning over 80 years. The company is focused on enabling sustainable, social, and economic progress in the Kingdom of Saudi Arabia and beyond. AEW operates investments in 6 GW of Conventional and Solar power plants, and around 700,000 m3/day of water. The mission is to tackle new technologies, solve complex problems, and leverage expertise to unlock opportunities in the Power, Renewables & Water Sectors while driving impact for stakeholders across the value chain.

Role Purpose

Support the Head of Corporate Finance in managing financing activities, banking relationships, debt portfolio administration, corporate finance operations and strategic financing initiatives across AEW entities.

Key Responsibilities

Financing & Debt Management

  • Support execution of corporate finance transactions across AEW entities.
  • Coordinate with lenders, banks, advisors, rating agencies and legal counsel.
  • Assist in reviewing financing proposals, term sheets and facility documentation.
  • Monitor facilities, repayment schedules and covenant compliance.
  • Support credit rating exercise.
  • Maintain financing databases, debt schedules and facility documentation.

Banking Relationship Management

  • Maintain day-to-day relationships with banks.
  • Coordinate lender information requests, renewals and amendments.
  • Track facility utilization, pricing, limits and renewal requirements.

Corporate Finance Operations

  • Support liquidity planning for corporate finance transactions.
  • Manage execution of corporate finance payments.
  • Monitor bank accounts to ensure availability of sufficient funds to meet corporate finance obligations in a timely manner.
  • Ensure timely issuance and renewal of bid bonds, performance bonds and letters of credit.
  • Manage administration of Equity Bridge Loan facilities.

Financial Analysis & Reporting

  • Maintain corporate finance exposure reports and debt schedules.
  • Keep up to date lender information packs, including KYC documentation.
  • Support financial analysis related to financing initiatives.

Qualifications & Experience

  • Bachelor's degree in Finance, Accounting, Economics, Business Administration or related discipline.
  • 5+ years of experience in Corporate Finance, Treasury, Corporate Banking, Credit Administration or Financial Institutions.
  • Experience within infrastructure, energy, utilities, project finance, or holding company environments is preferred.
  • Professional certifications such as SOCPA, CFA or CTP are preferred.

Skills & Competencies

  • Excellent analytical skills.
  • Excellent communication and interpersonal skills.

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