Job Vacancies

Finance and Treasury Manager at AAA Finance and Investment Company Limited – Apply Now

Finance and Treasury Manager

Job Overview

  • The Ideal candidate will be responsible for managing the treasury functions.
  • As the Finance and Treasury Manager the candidate will be overseeing the daily funding and investing requirements whilst identifying new funding opportunities.
  • You will also be managing the liquidity requirements in accordance to the funding plan and liquidity management strategy to ensure adequate cash flow management.

Job Responsibilities:

  • Enforce Global Treasury Policies and implement group treasury standards.
  • Comply with Internal Controls requirements and promote awareness and understanding of agreed processes
  • Supervise and coordinate the confirmation, settlement and reconciliation of treasury transactions of the company with banks in Nigeria.
  • Keep KYC / Open Maintenance and close of bank accounts
  • Ensure that all Treasury Back office controls are being carried out.
  • Approve payments and treasury transactions in the e-banking platforms (according to payment proposal and approved payments).
  • Monitor weekly cash Flow and payment proposal to analyze execution.
  • Consolidate monthly payment proposal to analyze current month cash position vs 3months forecast
  • Assist with preparation of short and long-term cash flow budget and forecast reports as required.
  • Monitor the review and approval of all bank reconciliations, according to Group and SOX Policies. Monitor, Review and approve Petty Cash reports, deposited funds, Held Checks.
  • Monitor consolidation of monthly AP/AR reports. Follow up with each local team regarding un-reconciled differences.
  • Assist with annual audit requirements.
  • Other Ad hoc reports assigned by Management.

Minimum Required Qualification

  •  First degree (BSc/HND) in Finance, accounting, business or another related field
  •  5-7 years of experience In Finance and Treasury management

Required Skills & Competencies

  • Management of Microsoft Dynamics ERP preferably, large knowledge of; Office Excel, PowerPoint and Outlook.
  • Knowledge of Bank reconciliations, Bank transfers and KYC processes
  • Proven ability to communicate with key stakeholders at an Executive and Board level
  • Understanding of legislative and regulatory requirements
  • Understanding and experience of treasury accounting including liquidity, cash-flow and various financial instruments
  • Sound understanding of accounting principles
  • Strong understanding of financial markets, financial instruments and debt instruments
  • Knowledge of banking relationships and covenants

Method of Application

Interested applicant should kindly send their CV to [email protected] with the job role and location as the subject.

CLICK HERE TO APPLY

APPLY FOR THE JOB

Leave a Comment