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VP of International Finance

Job in Riyadh, Riyadh Region, Saudi Arabia
Listing for: WEbook, Inc.
Full Time position
Listed on 2026-06-18
Job specializations:
  • Finance & Banking
    Financial Manager, Corporate Finance, Financial Compliance, CFO
  • Management
    Financial Manager, CFO
Salary/Wage Range or Industry Benchmark: 200000 - 300000 SAR Yearly SAR 200000.00 300000.00 YEAR
Job Description & How to Apply Below

Do you want to love what you do at work? Do you want to make a difference, an impact, and transform peoples lives? Do you want to work with a team that believes in disrupting the normal, boring, and average?

If yes, then this is the job you are looking for , is Saudi’s #1 event ticketing and experience booking platform in terms of technology, features, agility, revenue serving some of the largest mega events in the Kingdom surpassing over 2 billion in sales.

Role Overview

The VP of International Finance will lead ’s financial strategy, planning, controls, reporting, and finance operations across its international markets.

This is a senior finance leadership role reporting to the Chief Financial Officer, responsible for ensuring  has the financial structure, governance, reporting discipline, and operational capability required to scale across Europe, the UK, MENA and other international territories.

The role requires someone with deep experience managing finance across multiple international jurisdictions, including complex statutory, tax, treasury, transfer pricing, and regulatory environments. The successful candidate will act as the senior finance partner for all international market activity, working closely with the CFO, executive leadership, regional business leaders, legal, tax advisors, and external partners.

The VP of International Finance will bring structure, commercial insight, and financial rigor to how  evaluates, launches, manages, and scales international operations. This person must be both strategic and hands‑on, capable of supporting market-entry decisions while also ensuring the right controls, reporting, processes, and local finance infrastructure are in place.

Key Responsibilities International Financial Strategy
  • Lead the financial strategy for international markets in line with company growth objectives.
  • Partner with the CFO on capital allocation, market entry, investment decisions, and international expansion planning.
  • Build financial models and business cases for new markets, partnerships, and commercial opportunities.
  • Assess market viability, including revenue potential, cost structure, tax implications, cash needs, and profitability.
FP&A and Performance Management
  • Own budgeting, forecasting, and financial planning for all international markets.
  • Develop market‑level P&Ls, dashboards, KPIs, and performance reporting.
  • Track revenue, margin, operating costs, EBITDA impact, cash flow, and ROI by market.
  • Provide clear insights on financial performance, risks, opportunities, and corrective actions.
International Finance Operations
  • Oversee finance operations across international entities and territories.
  • Ensure timely month‑end close, reconciliations, reporting, billing, collections, payments, and financial submissions.
  • Coordinate with regional finance teams, local accountants, auditors, tax advisors, and external service providers.
  • Build scalable finance processes to support new market launches and ongoing growth.
Commercial Finance Support
  • Act as the senior finance partner to international business and commercial leaders.
  • Support pricing, deal structuring, commercial negotiations, partnership models, and revenue‑share arrangements.
  • Review major commercial proposals to ensure appropriate margin, payment terms, tax treatment, and financial return.
  • Identify opportunities to improve profitability, efficiency, cash collection, and revenue quality.
Statutory, Tax and Compliance
  • Ensure international entities meet local statutory, tax, accounting, and regulatory requirements.
  • Oversee VAT/GST, withholding tax, corporate tax, transfer pricing, payroll tax, and intercompany arrangements.
  • Partner with Legal, Tax, and external advisors on entity structuring, cross‑border transactions, and compliance obligations.
  • Support audit readiness and ensure accurate documentation, controls, and financial records.
Treasury & Cash Management
  • Manage international cash flow, working capital, liquidity, and funding needs.
  • Oversee multi‑currency operations, FX exposure, international banking, payment flows, and settlement processes.
  • Ensure appropriate controls over payments, approvals, bank access, and movement of funds across…
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