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  • Posted: May 20, 2026
    Deadline: May 25, 2026
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    Maurice Xandra Solutions is a management consulting company that renders quality services in Human Resource, Management and Process improvement. MXS Limited was set up to provide high quality, up to date training, team management and process improvement services for its clients.

     

    Group Treasurer

    Our client is a leading investment company in Lagos. The Group Treasurer will be responsible for overseeing the organization’s treasury operations, including liquidity management, capital structure optimization, financial risk mitigation, and investment strategy. This role ensures efficient cash flow across subsidiaries, maintains banking relationships, and supports strategic financial planning to drive sustainable growth.

    Key Responsibilities

    • Monitor and manage daily cash positions across the group.
    • Forecast short- and long-term cash flow requirements.
    • Optimize working capital and ensure adequate liquidity for operations
    • Develop and execute funding strategies to support business growth.
    • Evaluate debt and equity financing options.
    • Manage intercompany loans and capital allocations.
    • Maintain strong relationships with banks, financial institutions, and investors.
    • Negotiate favorable terms for credit facilities and banking services.
    • Ensure compliance with covenants and reporting obligations.
    • Identify and mitigate financial risks including interest rate, FX, and liquidity risks.
    • Implement hedging strategies where appropriate.
    • Ensure compliance with treasury policies and regulatory requirements
    • Evaluate investment opportunities and manage group investment portfolios.
    • Monitor returns and ensure alignment with group objectives.
    • Support M&A and strategic investment initiatives.
    • Treasury Operations & Systems
    • Oversee treasury systems and automation tools.
    • Ensure accurate and timely treasury reporting.
    • Drive continuous improvement in treasury processes and controls.

    Requirements

    • Strategic financial thinking and business acumen
    • Strong analytical and quantitative skills
    • Excellent negotiation and relationship management abilities
    • Proficiency in treasury systems and financial modeling
    • Deep understanding of financial markets and instruments
    • High integrity and attention to regulatory compliance
    • Bachelor’s degree in Finance, Accounting, Economics, or related field
    • Professional certification (e.g., CFA, ACT, ICAN, ACCA) is highly desirable
    • Minimum of 8–10 years’ experience in treasury or corporate finance, preferably in a group or holding company structure

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified candidates should forward their CV to: hr@mauricexandra.com using the position as subject of email.

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