Treasury Manager
- Job Type Full Time
- Qualification BA/BSc/HND , MBA/MSc/MA
- Experience 7 years
- Location Lagos
- City Victoria Island
- Job Field Finance / Accounting / Audit 
Summary of Role
Responsible for managing the cash flow, liquidity, investment position of the company and relationships with financial institutions or lenders
Responsibilities:
- Prepare weekly cash flow position and monthly Cash flow forecast.
- Provide report on capital management to assist the Management adequate decision making.
- Determine amount of funding required to maintain liquidity by consolidating forecasts of expected cash receipts and comparing with consolidated forecasts of expected cash needs
- Preparation of all monthly bank reconciliation statement
- Process all Bank documentation request/ account opening request
- Monitor bank accounts for the Company to ensure proper charges and interests are recognized into the accounts
- Process monthly interest income and expense on investment and facility respectively
- Ensures all investment transactions follow the Investment policy of the Company
- Review of Periodic calculations of interest income on fixed rate instruments.
Qualifications
- High aptitude for dealing with numeric and financial data as well as statistics
- Attention to detail.
- Good communication (verbal and written).
- Excellent team player
- B.SC degree (2nd class upper) Accounting, Business administration, economics, finance, or a related field required
- Qualified Accountant (ICAN, ACCA)
- Minimum of 7 years relevant experience in oil and gas industry
- MBA or Masters’ in Finance or related field
go to method of application »
Method of Application
Leave a Comment