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Treasury Operations Analyst

Cairo, Egypt

About Us

Tamara is the leading fintech platform in Saudi Arabia and the wider GCC region with a mission to help people make their dreams come true by building the most customer-centric financial super-app on earth. The company serves millions of users in KSA, UAE and Kuwait, and partners with leading global and regional brands such as SHEIN, Jarir, noon, Amazon, IKEA, eXtra and Farfetch as well as small and medium businesses.

Tamara is Saudi's first fintech unicorn and is backed by Sanabil Investments, SNB Capital, Checkout.com, amongst others, operating out of its headquarters in Riyadh, Saudi Arabia with other regional and global support offices.

Your role

As a Treasury Operations Analyst, you will support the day-to-day activities of the Treasury team, serving as a key point of contact with internal stakeholders for merchant queries and concerns, and playing an essential role in cash management and related operational processes.

With a strong foundation in financial literacy and analytical expertise, you will leverage data to generate actionable insights and drive informed decision-making—empowering you to transform how millions of users shop, pay, and bank.

You are a driven, determined, curious team player, knowing that collective strength means we all win. With a positive outlook, you are solution-oriented–persevering regardless of circumstances, always finding a way through, no matter the challenges. 

You will effectively find a way to work with everyone through empathy and respect. You will be driven and comfortable with responding quickly with urgency, with the ability to change course without losing momentum and energy, resulting in great success.

Your responsibilities

  • Manage timely and accurate fund movements between internal and external accounts, supporting both operational and strategic objectives.
  • Serve as a liaison with internal stakeholders, including Finance and cross-functional teams, to ensure seamless financial operations.
  • Maintain and update treasury systems to ensure data accuracy, system integrity, and reliability.
  • Support broader treasury functions, including funding strategies, merchant settlements, payment processing, and financial forecasting.
  • Contribute to process improvements and automation initiatives to enhance operational efficiency.
  • Ensure compliance with internal policies, regulatory requirements, and financial controls.
  • Monitor and mitigate treasury-related risks, including liquidity, counterparty, and operational risks.

Your expertise

  • Bachelor’s degree in Accounting, Finance, Engineering, Project Management or a related field.
  • 2+ years of experience in a finance operations, treasury, back or middle office banking role.
  • Strong analytical and problem-solving skills.
  • Excellent attention to detail and accuracy.
  • Ability to work independently and as part of a cross-border team.
  • Strong Excel skills and proficiency in using finance and treasury platforms.
  • Business level/Fluent English speaker with excellent communication and interpersonal skills.
  • Passion for finance and technology with a desire to learn and grow.

All qualified individuals are encouraged to apply.

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