Flutterwave

Finance & FinTech

Treasurer

Job details

Contract Type

Description

Required Competency and Skillset to be a Waver

  • Bachelor's degree in Finance, Economics, or a related field; Master's degree or relevant professional certifications (e.g., ACT, ACA, CFA, FRM, CTP) preferred.
  • Minimum of 12 years of experience in treasury or financial management, with a developed network of financial partners.
  • Experience & understanding of international payments, banking systems, Crypto and Defi workflow platforms.
  • Good understanding of emerging markets and G10 financial operations and local regulations.
  • Advanced proficiency in Excel, SQL, and relevant treasury tools.
  • Experience or familiarity with all or some of Emerging Markets, FX, and remittances.
  • Excellent financial analytical, strategic planning and execution skills.
  • Strong leadership and team management abilities.


Responsibilities
Strategy Development & Execution:
  • Collaborate with senior management to develop and implement a comprehensive treasury strategy aligned with Flutterwave's overall business objectives.
  • Lead the development and scaling of a treasury function, managing cash, investments, and liquidity across all major positions.
  • Identify and capitalize on market opportunities to maximize profitability and manage risk, in collaboration with senior management.
Financial Risk Management:
  • Establish and maintain robust financial risk management frameworks and policies (including FX, interest rate, and liquidity risks).
  • Oversee the monitoring and management of financial exposure, including hedging strategies, to mitigate potential losses.
  • Develop and implement hedging strategies.
Treasury Operations:
  • Oversee the execution of treasury transactions, ensuring efficiency and accuracy.
  • Manage relationships with banks, financial institutions, and other counterparties.
  • Optimize treasury processes and systems to enhance performance.
  • Analyze treasury performance and generate reports to improve profitability.

Capital & Liquidity Optimization:

  • Develop and maintain pricing models to ensure competitiveness and profitability.

  • Analyze and report on treasury performance, identifying areas for improvement.

  • Support the CFO in capital planning, fundraising, and investment decisions.

  • Evaluate and recommend investment opportunities for excess cash in low-risk instruments.

Stakeholder Management:
  • Collaborate with internal stakeholders, including finance, product, and technology teams.
  • Build and maintain relationships with external stakeholders, including banks, regulators, and industry associations.
  • Present to senior management on treasury performance and strategy.
  • Establish strong working


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