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- ...Job title : Treasury Officer Job Location : Lagos Deadline : June 15, 2026 Quick Recommended Links Job Purpose: ~ Responsible for the general accounting function in Lagos including preparing journal entries, maintaining balance sheet schedules and ledgers and account...
- ...Job title : Treasury Operations Manager Job Location : Lagos Deadline : June 22, 2026 Quick Recommended Links About the Role ~ This role manages the treasury operations function of BetKing, manage operational risks and manage the company’s liquidity and cashflow...
- ...Job title : Treasury Accountant Job Location : Lagos Deadline : June 12, 2026 Quick Recommended Links Job Summary We are seeking a detail-oriented and highly organized Treasury Accountant to manage cash operations, maintain accurate financial records, and ensure...
- ...Job title : Treasury Sales Professional Job Location : Lagos Deadline : June 20, 2026 Quick Recommended Links REQUIREMENTS: Bachelor's degree in Business, Finance, Economics, or a related field (Master's or relevant certification is an advantage). Minimum of...
- ...Job title : Treasury Specialist Job Location : Lagos Deadline : June 13, 2026 Quick Recommended Links The Treasury Specialist will support the organization’s cash management, banking operations, liquidity planning, and financial risk management activities. Job...
- ...Job title : Treasury Associate Job Location : Lagos Deadline : June 11, 2026 Quick Recommended Links Responsibility : Manage daily cash position by monitoring bank balances and ensuring adequate liquidity for operational needs. Process vendor payments, staff...
- ...Job Description The Senior Treasury and Financial Control Officer is responsible for ensuring prudent treasury management, strong financial control, and strict regulatory compliance in line with Central Bank of Nigeria (CBN) guidelines and other applicable financial...
- Job Title: Treasury Manager Location: Ikoyi, Lagos Employment Type: Full-time
- ...The Treasury Manager is responsible for managing Renmoney’s liquidity, funding, and treasury risk framework, ensuring adequate liquidity to support loan growth, optimizing funding costs, and maintaining strict compliance with CBN regulations applicable to finance companies...
- ...To support and manage Renmoney’s treasury activities, including liquidity management, funding, investments, and regulatory compliance, ensuring optimal funding cost, adequate liquidity buffers, and strict adherence to CBN regulations applicable to Microfinance Banks....
- ...Job title : Treasury Sales Specialist-Team Lead Asset Management Job Location : Lagos Deadline : June 19, 2026 Quick Recommended Links Role Description ~ This is a full-time hybrid role for a Treasury Sales Specialist-Team Lead in Asset Management, based in Lagos...
- ...relationships with corporate and institutional clients. Understand clients’ business needs and financial risks. Provide advisory support on treasury and foreign exchange solutions. Treasury Product Sales Promote and sell treasury products such as: Foreign exchange (FX)...
- ...officer assists the Finance Manager in all the activities related to finance and cash management. Responsibilities and Tasks Treasury & Cash Follow-up: Control themanagement ofthe petty cashby thefinanceassistant Ensurethat thedaily physical inventory of the...
- ...applications, and investor due diligence. Prepare budgeting, forecasting, and financial planning processes. Monitoring cash flow and treasury operations. Ensuring compliance with tax, statutory, and regulatory requirements. Supporting internal and external audit...
- ...Respond to enquiries relating to foreign fund transfers and payment transactions. Provide support by relieving the Assistant Treasury Manager and Cashier in their absence. Reconcile overseas creditors/suppliers Accounts Payable (AP) balances. Maintain and reconcile...
- ..., ACMA/CGMA Minimum 6-7 years of progressive finance experience, with at least 3 years in financial planning & analysis, FP&A, treasury, or strategic finance roles Basic understanding of engineering, construction, manufacturing, or oil & gas sectors Experience...
- ...submissions Support external audit processes and coordinate documentation for financial reviews Monitor daily cash flow and manage treasury-related activities Maintain accurate records for accounts payable and receivable Develop financial reports, forecasts, and...
- ...support activities with external partners. Monitor vendor SLAs and service delivery performance. Collaborate with Operations, Treasury, Finance, Risk, Compliance, and Product teams to support banking operations. Department Setup & Operational Leadership:...
- ...financial planning and analysis, capital raising, financial modelling, mergers and acquisitions, business valuation, investment analysis, treasury management, and strategic financial advisory. The role supports executive management in driving sustainable growth,...
- ...effectively with internal teams and external partners. Attention to Detail: High level of accuracy and attention to detail in managing treasury functions and reporting. Problem-Solving: Ability to assess complex financial situations and develop strategic solutions....
- ...management accounts Budgeting and financial planning Portfolio and investment accounting Regulatory and compliance reporting Treasury and cash flow management Internal controls and financial governance Requirements Minimum of 5 years’ relevant experience...
- ...Finance & Accounts team. The ideal candidate will have 5 years plus of relevant accounting experience and a strong understanding of treasury operations, bank reconciliations, ERP systems, financial reporting, and statutory audit support. The successful candidate will...
- ...Group FX margins from approximately 1% to 40%. The Group Treasurer will consolidate and extend that foundation: deploying a global Treasury Management System (TMS), building automated FX blotters, eliminating hidden margin leaks, and providing the CFO and Board with an...
- ...monthly income and expenditure and balance sheet variances against the budgets, and ensuring that they are reconciled. Monitoring treasury activities, including cash flow projections and forecasts for prudence and accountability; Negotiating with financial and...
- ...Monitor receivables and follow up on outstanding balances Reconcile supplier statements and customer accounts regularly Banking & Treasury Carry out daily bank reconciliation Monitor cash balances and forecast short-term liquidity needs Prepare and process...
- ...relationships with auditors, regulators, and tax authorities. Uphold internal financial policies and governance frameworks. Cash Flow, Treasury & Banking Relationships Manage cash flow, working capital, and liquidity to support operational and strategic needs. Build...
- ...Monitor and implement regulatory updates affecting microfinance operations. Financial Management & Operations: Direct accounting, treasury, financial planning & analysis, taxation, and financial reporting functions Oversee preparation of IFRS-compliant audited...
- ...Client Issue Resolution and Internal Coordination You will escalate and resolve client issues by coordinating internally across treasury, compliance, and operations teams, keeping customers updated throughout and ensuring every problem is followed through to closure....
- ...Compliance reporting to statutory and legal authorities Supervise accounts receivable, payables and manage cash flow Supervise the treasury on reconciliation and other financial-related tasks Journals. Save money for the company on procurement activities Invest...
- ...standards and banking regulations Track economic trends, industry developments, and competitor performance Support the Head of Treasury in managing and optimizing the investment portfolio Provide data-driven insights to support management decisions Conduct...
