Head Treasury at Nigerian Exchange Group (NGX Group)

Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
2 years ago

Additional Details

Job ID
47062
Job Views
93

Job Description



Job Summary



  • The Nigerian Exchange Group is seeking a highly skilled and experienced professional to join the Group investment team as the Head,Treasury.

  • The successful candidate will be responsible for leading the investor relation function, developing investment strategies and overseeing the execution of investment decisions. The role reports to the Group Chief Investment Officer.


Responsibilities



  • Develop and implement treasury policies, procedures, and risk management strategies to optimise cash management, capital structure, and financial risk exposure.

  • Manage cash flow forecasting and reporting processes, ensuring adequate liquidity for working capital needs and optimising the company's cash position.

  • Oversee the company's investment portfolio, including evaluation of investment opportunities as well as execution of investment strategies to maximise returns whilst mitigating risks.

  • Develop and maintain banking relationships, including t negotiation of credit facilities, loans, and other financial instruments.

  • Oversee management of foreign exchange exposure, interest rate risk, and other financial risks and implementing effective hedging strategies as needed.

  • Monitor and analyse financial market trends, and assess their impact on the company's financial position.

  • Collaborate with other departments/entities, including Capital Markets, Group Finance, and Group Audit, to ensure accurate financial reporting and compliance with regulatory requirements.

  • Provide financial insights and recommendations to support strategic decision-making and business growth initiatives.

  • Develop and maintain strong relationships with external partners, such as banks, investment managers, and financial advisors.

  • Ensure compliance with all applicable laws, regulations, and internal policies related to treasury management.


Person Specification & Required Qualification (s)



  • B.Sc/HND in Finance, Accounting, Economics, or a related field

  • Master's degree or professional certification (e.g., CFA, CTP) is an added advantage

  • Minimum of 8 years of experience in treasury management or a related field, with a strong focus on cash management, investments, and financial risk management.

  • Excellent understanding of financial markets, banking, and investment products.

  • Strong analytical, problem-solving, and decision-making skills.

  • Demonstrated ability to develop and implement strategic financial plans and risk management strategies.

  • Proven experience in managing relationships with banks and other financial institutions.

  • Excellent communication and interpersonal skills, with an ability to present complex financial information to both technical and non-technical audiences.

  • Strong leadership skills, with experience in managing and developing teams.

  • Proficient in Microsoft Office Suite, with advanced Excel skills; experience with treasury management systems is a plus.


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