Mid-level Jobs in Alimosho, Nigeria

67 jobs found

Seven Up Bottling Company

Treasury Specialist

Lagos Nigeria
Closed for applications
Unified Payment

Operations Officer

Lagos Nigeria
Closed for applications
Wema Bank Plc

Corporate Banking Relationship Manager

Lagos Nigeria
Closed for applications
Wema Bank Plc

Commercial Relationship Management Officer - 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)

IT Auditor, Internal Audit

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

Brand Manager

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

Research Analyst

Lagos Nigeria
Closed for applications

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Asset & Resource Management Holding Company (ARM HoldCo)

Transformation Analyst

Lagos Nigeria
Closed for applications

Country / Region

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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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