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Corporate Finance Manager

VendorCredit

Role Overview

  • The Corporate Finance Manager will oversee corporate financial planning and treasury management functions, ensuring effective fund utilization, liquidity management, and risk mitigation.
  • The role involves collaborating with financial partners, optimizing financial resources, and driving the company’s corporate finance strategy to support its growth objectives.
  • A strong understanding of economics and its implications on financial decision-making is critical to this role.

Bank and Partner Activities:

  • Manage and maintain relationships with financial partners, including banks, finance houses, and cooperatives.
  • Oversee bank and account operations, ensuring smooth financial transactions with partners.
  • Evaluate and manage transaction costs with financial partners to optimize financial performance.
  • Provide monthly rate guidance and investment advice.
  • Update investment payout schedules and compute liquidity positions.
  • Assess and establish monthly cost of funds to align with business objectives.

Asset, Liability, and Liquidity Management:

  • Plan and manage funds for disbursement and expense requirements across financial institutions.
  • Oversee liquidity, exposure, and leverage management in partnership with banks.
  • Handle excess liquidity investments and risk mitigation strategies.
  • Develop collection schedules in collaboration with risk and portfolio management teams.
  • Monitor FX liquidity exposure and set FX trigger points to mitigate currency devaluation risks.
  • Define performance benchmarks for margins, reserves, cash, collections, and liquidity
  • in alignment with executive directives.
  • Analyze economic trends and assess their impact on liquidity, funding, and investment strategies.

Corporate Finance:

  • Originate deals for fund-raising efforts, working with banks, finance houses, and cooperatives.
  • Prepare documentation to support deal origination and ensure regulatory compliance.
  • Collaborate with the growth team on front-end deal origination when required.
  • Leverage economic insights to structure and negotiate financing options effectively.

Treasury Management:

  • Manage liquidity to ensure the organization has sufficient funds to meet its operational needs.
  • Develop strategies to optimize cash flows and minimize financial risks.
  • Oversee interest rate risk and advise on appropriate mitigation strategies.
  • Analyze and report on FX risks, providing solutions to reduce exposure.
  • Apply economic principles to forecast market trends and identify opportunities for financial optimization.

Reporting and Compliance:

  • Prepare and deliver weekly financial reports to key stakeholders.
  • Oversee financial reporting and bank reconciliation activities.
  • Monitor and ensure compliance with established KPIs and financial parameters.
  • Generate comprehensive reports and provide insights on mitigants for interest rate, liquidity, and FX risks.
  • Incorporate economic data in financial reporting to support strategic decision-making.

Qualifications

  • Education: Bachelor’s Degree in Finance, Economics, Accounting, or a related field.
  • A master’s degree or professional certification (e.g., CFA, ACA, ACCA) is an advantage.
  • Experience: 7–10 years of experience in corporate finance, treasury management, or a related field, preferably within the banking or financial services sector.

Skills:

  • Strong analytical and problem-solving skills.
  • Excellent relationship management and negotiation skills.
  • Proficiency in financial modeling and reporting tools.
  • In-depth understanding of financial regulations and risk management practices.
  • A strong grasp of economic principles and their impact on financial markets and corporate finance activities.

Key Competencies:

  • Strategic thinker with a proactive approach to financial management.
  • Exceptional communication skills to liaise with internal and external stakeholders.
  • High attention to detail with the ability to multitask and prioritize.
  • Demonstrates a solid understanding of economic factors influencing financial
  • decision-making and market dynamics.

Application Closing Date
31st October, 2026.

How to Apply
Interested and qualified candidates should:
Click here to apply online

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Vacancy posted 7 hours ago
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