Senior Manager: Treasury Operations at Cellulant Group - Senior Manager: Treasury Operations

Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
1 year ago

Additional Details

Job ID
92422
Job Views
110

Job Description



JOB DESCRIPTION:



  • As the Senior Manager: Treasury Operations at Cellulant, you will be a vital part of our mission to revolutionise digital payments across Africa.

  • You will play a hands-on role in managing the day-to-day liquidity, ensuring smooth payment flows, and optimising the company's cash resources.

  • Your expertise in treasury operations, meticulous attention to detail, and analytical skills will be crucial to maintaining our financial health and supporting our growth across multiple markets.


CORE RESPONSIBILITIES:


Payment Operations:



  • Float Funding: Manage and optimise float funding for airtime and payout transactions, ensuring sufficient liquidity to meet customer demand and support business growth.

  • Interbank Transfers: Execute timely interbank transfers to maintain optimal liquidity levels and support cross-border transactions.

  • Merchant Settlements: Process manual settlements for merchants efficiently and accurately, ensuring timely payouts and maintaining strong relationships with our partners.

  • Wallet Liquidation: Oversee the liquidation of wallets from various mobile network operators (MNOs), optimising processes and minimising costs.

  • Float Allocation: Allocate and manage float funds across the Tingg platform to ensure smooth operations and efficient utilisation of resources.


Foreign Exchange (FX) Management:



  • FX Procurement: Coordinate with partner banks to source foreign exchange at competitive rates and ensure timely execution of transactions.

  • FX Rate Monitoring: Monitor and analyse currency exchange rates to identify opportunities for cost savings and risk mitigation.

  • FX Reporting: Prepare regular reports on FX assets and liabilities, sources and uses of FX, FX revenues, and Value-at-Risk (VaR) analysis.


Treasury Operations:



  • Transaction Confirmation: Timely confirmation of treasury transactions to ensure accuracy and completeness of records.

  • Bank Reconciliations: Perform daily reconciliations of bank accounts to identify and resolve discrepancies, ensuring the integrity of financial data.

  • TMS Management: Oversee financial controls and authorisations within the Treasury Management System (TMS), ensuring compliance with internal policies and procedures.

  • Payment Approvals: Review and approve payments in accordance with established limits and controls.

  • Bank Account & Mandate Management: Maintain accurate records of bank accounts and mandates, ensuring they are up-to-date and compliant.

  • Rolling Reserves Monitoring: Monitor and manage rolling reserves to ensure compliance with regulatory requirements and mitigate liquidity risks.


Reporting and Analysis:


Tracking and Reporting: Maintain and update intercompany trackers, FX trackers, and settlement trackers to ensure accurate and transparent reporting.



  • Analysis: Conduct regular analysis of treasury data to identify trends, optimise processes, and support decision-making.

  • Daily Asset (cash) and liability (pending settlements) review

  • Assessment of VAR for pending settlements (with respect to FX rate changes


QUALIFICATIONS & EXPERIENCE:


Must have experience:



  • Knowledge of banking, treasury and payments products and processes.

  • Thorough knowledge of African currency markets and regulatory frameworks

  • Strong communication skills and an ability to build and leverage cross-functional relationships.


Nice to have experience:



  • Treasury Management System

  • Accounting

  • Strong understanding of financial markets, and banking operations.


Qualification:



  • Education: Bachelor's Degree in Finance, Accounting, Economics, or a related field.

  • Experience: 5-8 years of hands-on experience in treasury operations, back-office processing, or a related field preferably within the fintech industry.

  • Knowledge:

  • Strong understanding of treasury functions, financial markets, and banking operations.

  • Familiarity with African financial markets and regulatory frameworks.

  • Knowledge of AML/CFT regulations and sanctions screening procedures.


Skills:



  • Advanced proficiency in Microsoft Excel or Google Sheets for data analysis and reporting.

  • Experience with treasury management systems or enterprise resource planning (ERP) software is a plus.

  • Strong analytical and problem-solving skills.

  • Excellent attention to detail and accuracy.

  • Effective communication and interpersonal skills.

  • Ability to work independently and as part of a team.

  • Proactive, results-oriented, and adaptable to change.


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