About this role
Treasury Officer
We are urgently recruiting a skilled and detail-oriented Treasury Officer to support effective financial management and treasury operations.
Key Responsibilities
- Monitor daily cash positions and cash flow requirements.
- Manage bank transactions, payments, and reconciliations.
- Prepare cash flow forecasts and treasury reports.
- Monitor inflows and outflows to ensure effective liquidity management.
- Maintain accurate records of financial and banking transactions.
- Support payment processing and ensure proper authorization procedures are followed.
- Liaise with banks and other relevant financial institutions.
- Assist in preparing periodic financial and treasury reports.
- Ensure compliance with internal financial policies and controls.
Requirements
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Bachelor's Degree or HND in Accounting, Finance, Economics, or a related discipline.
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Professional accounting qualification or certification will be an added advantage.
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Relevant experience in treasury, finance, accounting, or banking.
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Good understanding of cash management and financial reporting.
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Proficiency in Microsoft Excel and other financial tools.
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Strong analytical, numerical, and attention-to-detail skills.
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High level of integrity and accountability.
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Tailor your CV for this job if it fits your experience. Your first 2 are free.