Job Description: Investment Relations Manager
Location: Riyadh, Saudi Arabia
Department: Finance
Reports To: Chief Financial Officer (CFO)
Salary Range: 32,000 – 35,000 SAR per month
About the Role
We are seeking a seasoned Investment Relations Manager to lead our investment engagement and ESG reporting initiatives. This role is pivotal in shaping the company’s financial narrative, fostering relationships with Investment s and analysts, and ensuring compliance with governance standards. The ideal candidate will have a strategic mindset, exceptional communication skills, and a proven track record in managing Investment relations within dynamic markets.
Key Responsibilities
1. Investment Relations Strategy & Execution
- Develop and implement annual/quarterly Investment relations plans, including calendars for key events, analyst coverage, and market outreach.
- Serve as the primary liaison between the company and Investment s, bankers, and equity/debt analysts.
- Track stock performance, shareholder composition, and analyst recommendations; advise leadership on Investment sentiment.
- Prepare presentations, press releases, and scripts for earnings calls, Investment meetings, and conferences.
2. ESG & Regulatory Compliance
- Coordinate ESG reporting aligned with GRI, SASB, and local frameworks, ensuring transparent communication of initiatives.
- Collaborate with internal teams to update ESG metrics and integrate them into annual reports.
- Ensure compliance with regulatory disclosures and filings (e.g., CMA, Tadawul).
3. Data Management & Stakeholder Engagement
- Maintain Investment databases using tools like Bloomberg, Capital IQ, and IR CRM systems.
- Update the Investment relations section of the company website and manage Investment inquiries.
- Partner with cross-functional teams (Finance, Legal, Marketing) to align messaging and data accuracy.
4. Reporting & Communication
- Lead the preparation of annual reports, including coordination with design teams for thematic alignment.
- Ensure bilingual (English/Arabic) annual report consistency and accuracy.
- Organize quarterly Investment calls, roadshows, and ad-hoc meetings to communicate financial performance.
5. Market Analysis
- Conduct competitor benchmarking, industry trends analysis, and macroeconomic updates to inform strategy.
- Monitor regulatory changes and Investment expectations to adapt communication strategies.
Qualifications & Requirements
- Education: Bachelor’s or master’s degree in finance, Accounting, or related field; MBA or CFA preferred.
- Certifications: SOCPA, CIRO, CMA, or IFSAH certifications required; ESG-related certifications (e.g., GRI) a plus.
- Experience: 8–12 years in Investment relations, financial analysis, or corporate communications, preferably in real estate or capital-intensive sectors.
- Technical Skills: Proficiency in MS Office, Oracle Financials, Bloomberg, and Capital IQ.
- Soft Skills: Strong negotiation, presentation, and stakeholder management abilities; fluency in English and Arabic.
- Attributes: Strategic thinker with meticulous attention to detail and a proactive approach to problem-solving.
Why Join Us?
- Competitive salary package (32,000–35,000 SAR/month).
- Opportunity to shape Investment relations for a high-growth organization.
- Collaborative work environment with a focus on innovation and professional development.