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  • Posted: Feb 10, 2026
    Deadline: Not specified
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  • FCSL Asset Management Company was incorporated in 1994 and has been operational for nearly 3 decades, providing various investments, financial services and advisory, with the Corporate Finance and Advisory, Equities and Fixed Income Securities and Markets
    Read more about this company

     

    Corporate Finance Analyst II

    Duties and Responsibilities

    • Review financial forecasts, models, and assumptions to assess achievability, risks, and alignment with business strategy
    • Develop and manage budgets, monitor performance, and ensure adherence to approved financial policies and controls
    • Evaluate prospective investments, including financial viability, risk exposure, and strategic fit
    • Prepare and present detailed financial and investment reports to senior management and key stakeholders
    • Ensure accurate and timely recording of all financial transactions within the company’s accounting and reporting systems
    • Lead and support negotiations on loan facilities, financing arrangements, and other transaction-related agreements
    • Assess investment performance based on interest rates, market conditions, cash flows, and other key financial indicators
    • Review financial statements and management accounts to validate accuracy, consistency, and commercial reasonableness
    • Support transaction structuring, deal execution, and other corporate finance–related activities
    • Work closely with internal and external stakeholders, including business units, advisors, and regulators, to deliver successful transactions
    • Manage relationships with banks, financial institutions, and other funding partners to support financing and capital requirements
    • Monitor market trends, regulatory developments, and economic conditions to identify growth, funding, and investment opportunities
    • Develop financial models, analytical frameworks, and presentations that clearly communicate complex financial concepts to decision-makers
    • Analyse financial results, explain variances, identify performance gaps, and recommend corrective or growth-oriented actions
    • Coordinate and manage regulatory filings, public notices, and documentation related to capital market transactions, working with the SEC, NGX, FMDQ, NASD, and other regulators
    • Prepare high-quality investment materials, including teasers, information memoranda, and prospectuses for specific transactions.

    Requirements
    Educational & Professional Qualification:

    • Bachelor’s Degree in a business-related field
    • Any relevant professional qualification (CFA, ACCA, ICAN, or MBA)

    Experience:

    • 3–5 years of previous experience in a similar role

    Competency Requirements:

    • Good oral and written communication skills
    • Strategic and analytical thinking
    • Knowledge of financial accounting principles
    • Expertise in financial modelling and forecasting
    • Research and information handling
    • Proficiency in Excel/publishing tools
    • Creativity and innovation.

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified? Go to FCSL Asset Management Company on fcslng.com to apply

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