Principle Treasury

sgs· Management, General Administration and Support Functions
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📍 Muscat📍 Muscat, , Oman📍 omContract

About this role

Company Description

SGS is the world’s leading Testing, Inspection and Certification company. We operate a network of over 2,500 laboratories and business facilities across 115 countries, supported by a team of 99,500 dedicated professionals. With over 145 years of service excellence, we combine the precision and accuracy that define Swiss companies to help organizations achieve the highest standards of quality, compliance, and sustainability.

We are looking for a Principle Treasury for a period of 2 years who will oversee the organization’s treasury functions, including financial affairs, investments, liquidity, audits, and risk management ensuring adequate capital availability, maintaining accurate funding records, and driving continuous improvement for sustainable business growth within accepted accounting practices.
The position will act according to OQEP’s mission, vision, values, policies, and guidelines, supported by an IT technology platform, HSE standards, the Oman government, and other legal justifications and best international practices aligned with national objectives.

Job Description


Advise on optimal capital structure which can cater for raising debts to fund the growth plan of the organization.

Lead in obtaining Islamic financing for the company's future capital expenditure plans.

Ensure alignment of the overall company funding strategy with policies and procedures, optimizing the use of debt capacity.

Assist in obtaining Sharia-compliant derivatives to align treasury activities with company guidelines.

Stay abreast of developments in the finance market and be updated of latest financial and economic news in the region.

Oversee cash positioning, initiate treasury payments, and execute foreign exchange currency transactions.

Oversee negotiations with banks for fund placement and provide monthly performance reports.

Implement optimal working capital management strategies aligned with industry practices.

Monitor and analyze cash flow forecast reports, contributing to the long-term funding strategy.

Support in reporting to regulatory, contractual, and informational stakeholders.

Prepare and submit treasury reports regularly to committees, the Board of Directors, shareholders, and other ad-hoc requirements.

Monitor and maintain the company's treasury risk register and provide recommendations for mitigating and managing identified risks.

Oversee treasury-specific GL accounts and maintain financial records and Liaise with the Finance Control Team for timely and accurate reporting of the treasury trial balance and disclosures.

Ensure continuous monitoring of the company's Sharia-compliant position as per MSX and AAOIFI rules.

Follow established processes to ensure accurate and complete assessment and review of bank credit and support in establishing a standardized procedure to complete the assessment to provide prompt feedback on the credit worthiness of the counterparty.

Collaborate effectively with colleagues from other departments to achieve department objectives and performance metrics.

Identify opportunities to standardize processes and drive efficiencies.

Respond promptly to queries from lenders, stakeholders, tax, and audit inquiry and provide strategic and technical expertise in funding, capital structure, and financing to optimize cost of capital and support future growth projects

 

Qualifications

 + 10 years of experience in treasury, cash forecasts and cash flow analyses, investment portfolio strategy, banking, and financial instruments, obtaining financing and general knowledge of accounting standards and SEC reporting in the oil and gas sectors.

Computer literate with expertise in MS Office.

Technical engineering terminology in English & and Arabic languages.

Business planning and development.

HSE, finance, budget, and reporting.

Advanced business and financial analytical skills, Procurement, Contract, Inventory, and Warehouse.

Treasury, Banking, Treasury Risk Management

Additional Information

#LI-Onsite

Frequently Asked Questions

Is the salary disclosed for the Principle Treasury position at sgs?
The salary for this Principle Treasury role at sgs is not publicly listed. Click "Apply Now" to learn more about the compensation package on their official careers page.
Where is the Principle Treasury position at sgs located?
This Principle Treasury role at sgs is based in Muscat, Muscat, , Oman, om. The position is listed as on-site or hybrid. Check the full job description or apply directly to confirm the work arrangement.
Is the Principle Treasury role at sgs full-time or part-time?
This is listed as a Contract position. It is posted as a Principle Treasury role in the Management, General Administration and Support Functions department at sgs.
Which team or department does the Principle Treasury at sgs belong to?
This Principle Treasury position is part of the Management, General Administration and Support Functions department at sgs. See the full job description for more information about the team structure and responsibilities.
How do I apply for the Principle Treasury position at sgs?
Click the "Apply Now" button on this page. You will be redirected to sgs's official application portal hosted on smartrecruiters where you can submit your application directly.
When was the Principle Treasury job at sgs posted?
This Principle Treasury position at sgs was posted on Jan 28, 2026. Apply as soon as possible — early applications are often reviewed first.
Principle Treasury
sgs
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