Summary
Overview
Work history
Education
Skills
Certification
Languages
Training Courses
Timeline
Generic

Gharam Alobaidan

Riydah,Saudi Arabia

Summary

Accomplished finance professional with expertise in treasury and accounts management, payments processing, and reconciliation. Demonstrates proficiency in financial analysis and reports preparation, risk assessment, and regulatory compliance. Skilled in utilising ERP and banking platforms to support corporate clients with documentation needs. Adept at communication and problem-solving, aiming to leverage these competencies towards enhancing organisational financial strategies.

Overview

4
4
years of professional experience
2022
2022
years of post-secondary education
1
1
Certification

Work history

Specialist Accounts Management

Banque Saudi Fransi
Riyadh
01.2025 - 12.2025
  • Reviewing and validating corporate client documents to ensure compliance with internal policies and regulatory requirements.
  • Providing corporate clients with banking services and granting user permissions and access rights based on authorization levels.
  • Preparing and delivering daily operational reports to management to support tracking, transparency, and decision-making.
  • Conducting legal reviews on all submitted documents to ensure accuracy and alignment with contractual and regulatory frameworks.
  • Collaborating on the enhancement and development of banking systems — particularly BSF Global — to streamline processes and accelerate operational efficiency

Treasury Officer

Jahez International Company
01.2024 - 01.2025
  • Manage the banks accounts and Preparing and Processing all the payments.
  • Ensure and check the supporting documents and invoices along before any payment request and provide comments if there is any issue for further payments processing.
  • Recording and post all payments and transactions into ERP system to appropriate accounts.
  • Maintaining financial records and cash logs, and share it with accounts department to Reconciling bank deposits and payments to Facilitate the production of treasury reporting.
  • Ensuring all copies of receipts issued are properly filed for easy reference.
  • Coordinate with the banks regarding daily foreign exchange and time deposit rates in addition to other required follow ups.
  • Coordinate with various departments on treasury related requirements or tasks to make Payments processing correctly

Admin Assistant, Corporate Banking, Business Banking

Alinma Bank
Riyadh
01.2022 - 01.2024
  • Reviewed corporate financing applications and prepared comprehensive credit assessments to support lending decisions.
  • Analysis financial ratios and validated required data, including uploading and finalising information on the Kafalah platform.
  • Prepared and submitted periodic reports to SAMA, ensuring accuracy and compliance with regulatory requirements.
  • Generated financial reports and performance summaries to support management and credit committee

Education

Bachelor Degree - Finance

Qassim University

Skills

  • Treasury & Accounts Management
  • Payments Processing & Reconciliation
  • Financial Analysis & Reports Preparation
  • Risk Assessment & Regulatory Compliance
  • ERP & Banking Platforms (Add system names)
  • Corporate Clients Support & Documentation
  • Communication & Problem Solving

Certification

Bloomberg Market Concept (BMC) From Bloomberg LP 2020

Languages

English: Excellent
Arabic: Native

Training Courses

  • The Valution of REIT Assets. Saudi Authority for Accredited Valuers. 2021
  • Exchange Trading Funds. The Financial Academy. 2020
  • Self-employment culture. Saudi Development Bank. 2020

Timeline

Specialist Accounts Management

Banque Saudi Fransi
01.2025 - 12.2025

Treasury Officer

Jahez International Company
01.2024 - 01.2025

Admin Assistant, Corporate Banking, Business Banking

Alinma Bank
01.2022 - 01.2024

Bachelor Degree - Finance

Qassim University
Gharam Alobaidan