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JOB SUMMARY
The Group Head Treasury will oversee and supervise all facets of treasury management, Tools/program development, setting KPIs, implementation, and strategic plan development/execution. Lead key strategic treasury projects – including implementation & streamlining of treasury processes, controls, risk management, bank account structure and account rationalization, payments etc., among others in collaboration with key stakeholders. Work with the business divisions, functional departments, and operating entities to ensure financial risk is correctly identified and advise on appropriate risk mitigation and instruments (which include foreign exchange transaction risk, balance sheet FX management and commodity risk) Develop plan for short term and long term funding requirement within group companies and arrange for the same. Manage short term and long term Liquidity in the group companies. Develop and manage FX procurement plan.
KEY RESPONSIBILITIES
ERP SAP
Refinancing of LC Obligations
Online Payment System – NIBSS
CP Project
Forex Acquisition
Requirements
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Interested and qualified candidates should forward their CV to: recruitment@jotna.com using the position as subject of email.
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