Accounting, finance, banking, insurance jobs in Eti-Osa, Nigeria

15 jobs found

Seven Up Bottling Company

Treasury Specialist

Lagos Nigeria
Closed for applications
Stanbic IBTC Bank

Officer, Quality Assurance

Lagos Nigeria
Closed for applications
Airtel Nigeria

Mid-Career Professionals Application Programme - Finance

Lagos Nigeria
Closed for applications
Stanbic IBTC Bank

Banker, Private - Lagos

Lagos Nigeria
Closed for applications
First Bank of Nigeria Limited

Credit Policy & Portfolio Officer

Lagos Nigeria
Closed for applications
First Bank of Nigeria Limited

Credit Monitoring Officer

Lagos Nigeria
Closed for applications
Asset & Resource Management Holding Company (ARM HoldCo)

Credit Analyst

Lagos Nigeria
Closed for applications
Asset & Resource Management Holding Company (ARM HoldCo)

IT Auditor, Internal Audit

Lagos Nigeria
Closed for applications
Asset & Resource Management Holding Company (ARM HoldCo)

Funding Accounting Officer

Lagos Nigeria
Closed for applications

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Dangote Group

Regional Head Internal Audit, Pan Africa (WACA & SEA)

Lagos Nigeria
Closed for applications

Country / Region

Seniority (Accounting, finance, banking, insurance)

© Fuzu Ltd

Treasury Specialist

Closed for applications
Job details

Contract Type

Description

Requirements

  • Candidates should possess an HND/BSC with 3 years+ experience as a Treasury Analyst
  • Financial and mathematical abilities.
  • Strong time management and organisational abilities.
  • Hands-on knowledge of Microsoft Suite/SAP
  • Professional certification is a plus


Responsibilities
  • Serve as the primary point of contact for all treasury-related inquiries
  • Oversee cash management, investments, and banking relationships
  • Develop and maintain strong working relationships with banks and other financial institutions
  • Negotiate favorable terms for credit lines and loans
  • Monitor compliance with bank covenants and loan agreements
  • Prepare monthly cash forecasts and manage short-term and long- term borrowing needs
  • Invest idle cash in accordance with investment policies
  • Manage foreign exchange risk
  • Prepare journal entries and reconcile general ledger accounts
  • Assist with periodic audit by providing necessary documentation and information
  • Stay abreast of changes in treasury and finance best practices and regulations
  • Preparation of periodic reports for internal and external use.

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