Job Description
Corporate Finance / Treasury Officer Norrenberger Financial Group is seeking an experienced Corporate Finance / Treasury professional to drive liquidity management, capital planning, and strategic financial initiatives across the Group.
Job Details
- Group-wide treasury, liquidity, and cash flow management
- Working capital and short-term funding optimization
- Capital structure planning and funding strategy execution
- Investment appraisal, financial modelling, and valuation
- Capital raising, debt structuring, and investor relationship management
- Oversight of treasury operations, investments, and payment controls
- Financial risk management (liquidity, FX, interest rate)
- Regulatory compliance and treasury policy governance
- Preparation of management and board-level financial reports
- Delivery of strategic, cross-functional financial initiatives
Skills & Competencies
- Advanced financial modelling, corporate valuation, and capital markets knowledge.
- Deep expertise in treasury operations, cash management, and investment strategies.
- Strong project management skills with ability to drive multiple initiatives simultaneously.
- Excellent negotiation, communication, and stakeholder management capabilities.
- High degree of integrity, commercial acumen, and strategic foresight.
- Ability to thrive in a complex, multi-subsidiary, and fast-paced business environment.
EDUCATIONAL QUALIFICATIONS
- Bachelor’s degree in Finance, Accounting, Economics, or related discipline.
- Professional certification: ICAN, ACCA, CFA, or MBA (mandatory or highly preferred).
- 8–10 years progressive experience in corporate finance, treasury management, or investment banking.
- Prior experience in group structures, financial services, or diversified business environments will be an added advantage.
- Proven track record in capital raising, balance sheet optimization, and strategic financial advisory.