Capital Markets Financial Analyst; Treasury - Relocate to Saudi Arabia, Expat Family
Listed on 2026-06-23
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Finance & Banking
Corporate Finance, Capital Markets, Financial Analyst, Risk Manager/Analyst
Please note that this role is based in Saudi Arabia on a permanent, residential basis.
OverviewWe are seeking a Capital Markets Financial Analyst to join the Treasury’s Capital Markets & Financing Department of Saudi Aramco. The Capital Markets & Financing Department oversees global debt capital markets to identify opportunities and emerging trends in support of Saudi Aramco’s global financing strategies. Your primary role is to lead many aspects of corporate debt issuances ensuring that the group maintains ready access to financial markets to meet its expansionary requirements and working closely with senior finance management, banks, debt investors and credit rating agencies.
Dutiesand Responsibilities
- Monitor and report on developed and emerging debt capital markets activities with a focus on energy-related sectors.
- Assist in the structuring, pricing and negotiation of debt issuances under both conventional and Islamic structures including the renewal of syndicated revolver facilities and bilateral credit facilities.
- Devise hedging strategies to mitigate interest rate risk associated with long-term debt issuances.
- Work closely with legal and investor relations teams in the capital markets due diligence process including capital markets related documentation, preparation of information memorandum and investor presentations.
- Assist in the formulation and the implementation of financing strategies, policies and procedures to ensure group-level financial flexibility.
- Represent Saudi Aramco, as assigned, on joint venture financing projects and regular or ad hoc committees or task forces pertaining to financing matters.
- Bachelor’s degree or above in Finance, Economics, or Accounting. An MBA is preferred.
- Minimum of 7 years of experience in a corporate funding role or experience leading a debt capital markets origination/structuring/syndication team.
- A financial certification such as a CPA, CMA, CTP, or a CFA is a definite advantage.
- Extensive experience maintaining and developing relationships with banks, investors and rating agencies.
- Extensive experience across debt market products, including vanilla, securitization, hybrid instruments and liability management exercises.
- Solid understanding of international credit and rates markets dynamics. Excellent communication skills are required to work successfully with internal and external stakeholders.
Our high-performing employees are drawn by challenging and rewarding professional, technical and industrial opportunities, and are remunerated accordingly.
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