Job Description
Responsibilities
Team Lead:
- Provide leadership and ensure efficient and effective management of staff and resources in the treasury function;
Functional:
Cash management:
- Overseeing the day-to-day cash flow, ensuring the company has enough funds to meet customer withdrawals and other financial obligations.
Investment portfolio management:
- Active management of the portfolio in various shariah compliant financial instruments like sukuk (bonds), fixed income instruments etc. to generate optimal returns while managing risk.
- Track market movements to take and square off positions in domestic and forex markets.
- Oversee the execution of deals for investing, trading, and funding, ensure trades are captured in the system to trigger position updates
Liquidity risk management:
- Monitoring and managing the portfolio's ability to meet short-term funding needs, ensuring access to necessary capital in volatile market conditions.
Market risk management:
- Analyzing and mitigating risks associated with fluctuations in interest rates, exchange rates, and other market factors.
Funding strategy development:
- Identifying and securing various sources of funding, including deposits and capital markets, to meet the company's financial requirements.
Financial reporting and analysis:
- Preparing and presenting financial reports to senior management, analyzing financial performance, and identifying potential risks and opportunities.
Regulatory compliance:
- Ensuring the company adheres to all relevant financial regulations and reporting requirements related to treasury activities.
Others:
- Work with the Finance Director to generate income to accomplish the company’s short-term to long-term funding and return Optimisation objective
Qualifications
- B.Sc or HND in Economic / Finance / Accounting
- Minimum of 7 years treasury management experience in the banking industry or capital market
- Knowledge of Islamic finance is an added advantage
- Professional qualification e.g CFA, ACA etc are added advantage.