Corporate Finance & Treasury Officer

Job details

Contract Type

Description

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or related discipline.
  • Professional certification: ICAN, ACCA, CFA, or MBA (mandatory or highly preferred).
  • 8–10 years progressive experience in corporate finance, treasury management, or investment banking.
  • Prior experience in group structures, financial services, or diversified business environments will be an added advantage.
  • Proven track record in capital raising, balance sheet optimization, and strategic financial advisory.


Responsibilities
  • Group-wide treasury, liquidity, and cash flow management
  • Working capital and short-term funding optimization
  • Capital structure planning and funding strategy execution
  • Investment appraisal, financial modelling, and valuation
  • Capital raising, debt structuring, and investor relationship management
  • Oversight of treasury operations, investments, and payment controls
  • Financial risk management (liquidity, FX, interest rate)
  • Regulatory compliance and treasury policy governance
  • Preparation of management and board-level financial reports
  • Delivery of strategic, cross-functional financial initiatives


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