Degree from an accredited institution, complemented by a Masters or MBA degree with emphasis on finance. Any other certifications in a related professional body would be an added advantage.
Must possess a minimum of 5 years post qualification experience in a leading financial services institution, with at least 3 years of being a managerial position.
Understanding and experience of operations and treasury accounting including FX, liquidity, cash flow and various financial instruments.
Experience with regulatory compliance and financial industry standards.
Strong understanding of financial operations, processes, and systems.
Proficiency in using financial software, CRM systems, and enterprise resource planning (ERP) tools.
Excellent data analysis and reporting skills with the ability to leverage data to drive operational efficiencies.