Accounting, finance, banking, insurance Jobs for Mid-level in Nigeria

11 jobs found

Sahara Group Limited

Treasury Manager

Lagos

Nigeria

Closed for applications
Stanbic IBTC Bank

Executive Banker

Uyo

Nigeria

Closed for applications
Norrenberger Financial Group

Investment Banking Associate

Abuja

Nigeria

Closed for applications
Dangote Group

Treasury Manager

Lagos

Nigeria

Closed for applications
Stanbic IBTC Bank

Personal Banker

Osogbo

Nigeria

Closed for applications
Pishon and Brooks Advisory

Senior Analyst - Investment Banking

Lagos

Nigeria

Closed for applications
Pishon and Brooks Advisory

Corporate Finance Analyst

Lagos

Nigeria

Closed for applications
Pishon and Brooks Advisory

Relationship Manager

Lagos

Nigeria

Closed for applications
The People Practice

Accountant

Lagos

Nigeria

Closed for applications

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Malteser International

Finance and Admin Assistant - National Position

Katsina

Nigeria

Closed for applications

Country / Region

Seniority (Accounting, finance, banking, insurance)

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Sahara Group Limited

Energy + 2 more

Treasury Manager

Closed for applications
Job details

Contract Type

Description

Requirements

  • Bachelor’s degree in finance, Accounting, Economics, or related discipline.
  • Professional qualification (ACT, CFA, ACCA, CPA, or equivalent) strongly preferred.
  • 7–10 years of progressive experience in treasury, corporate finance, or banking.
  • Experience in cash forecasting, liquidity management, and risk management in multinational or capital-intensive industries (oil & gas preferred).
  • Strong knowledge of financial instruments, hedging products, and debt facilities.
  • Proficiency in treasury management systems (TMS), ERP systems (SAP, Oracle), and advanced Excel.
  • Ability to maintain strong relationships with external parties and internal colleagues
  • Knowledgeable in IFRS.


Responsibilities

1. Cash & Liquidity Management

  • Manage daily global cash positioning and ensure timely execution of payments and wire transfers.
  • Develop and maintain accurate short-term and long-term liquidity forecasts.
  • Oversee cash pooling arrangements and intercompany lending activities to optimize internal liquidity.
  • Monitor cash balances to ensure sufficient liquidity for operations, CAPEX, and debt obligations.

2. Risk Management Execution

  • Execute approved hedging strategies for commodities, foreign exchange, and interest rates.
  • Monitor counterparty risk exposure and ensure compliance with risk policies.
  • Track and report on hedge effectiveness versus targets and market outcomes.
  • Collaborate with senior finance leadership on risk management policies and strategies.

3. Debt & Capital Administration

  • Manage execution of drawdowns, repayments, and rollovers of credit facilities.
  • Ensure timely calculation and payment of interest and related charges.
  • Monitor debt covenants and compliance with financing agreements.

4. Banking Relationships

  • Manage day-to-day relationships with banks and financial institutions.
  • Negotiate banking fees, credit terms, and service agreements to minimize costs.
  • Administer bank accounts, including opening, closing, and maintaining appropriate signatory controls.
  • Ensure compliance with internal controls and segregation of duties in treasury operations.

5. Reporting & Process Improvement

  • Prepare and deliver treasury reports, including cash forecasts, debt schedules, and risk exposure summaries.
  • Develop and maintain treasury policies, procedures, and internal controls.


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