Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
11 months ago

Additional Details

Job ID
120752
Job Views
55

Job Description






As Treasury Analyst you’ll be working closely with our finance team, financial institutions & partners to ensure the business maximises and efficiently manages its cash, meets its working capital requirements and manages FX across various jurisdictions.



You will




  • Be accountable for foreign currency trade settlement activities, including confirmation, documentation, controls, compliance of foreign exchange trades

  • Maintain a rolling weekly cash forecast to ensure the company’s cash flows allow it to operate effectively

  • Play a role in the automation of payment functionality from our accounting system

  • Be the primary  contact for banks to lead the process of opening new bank accounts to support expansion plan

  • Analyse monthly bank fees and identify fee opportunities

  • Create internal control and process around cash deployment and reporting as the Company continues to grow and ensure compliance with the same

  • Maintain weekly treasury reconciliations



Requirements



What makes you a great candidate?




  • Proven experience in treasury operations for a fintech or corporate treasury 

  • Knowledge of banking, treasury and payment processes and systems

  • Ability to work autonomously and be flexible in a fast paced environment

  • Ability to handle multiple tasks, work effectively in a international team environment



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