We are a strategic Human Capital management partner, delivering value to our Clients in Nigeria and across Africa.
Our offerings;
Recruitment (Experienced Hires and Assessment)
Staffing
Learning & Development (Training) and
Advisory
Our consultants possess in-depth experience and knowledge in human resources consulting services, thereby translat...
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Responsible for providing strategic leadership and oversight of the Group’s treasury operations, liquidity management, and investment activities.
This role ensures effective management of cash flow, funding, banking relationships, and investment portfolios to optimize returns, minimize financial risk, and support the Group’s overall financial objectives.
The position requires a strong grasp of financial markets, capital planning, asset-liability management, and regulatory compliance.
Develop and implement treasury and investment strategies aligned with the Group’s financial goals and risk appetite.
Oversee the management of the Group’s liquidity, cash flow forecasting, and working capital requirements.
Lead the structuring and execution of short- and long-term funding arrangements, including debt issuance and capital raising activities.
Manage relationships with banks, rating agencies, and financial institutions to ensure optimal terms and access to capital markets.
Direct the analysis, selection, and monitoring of investment opportunities across asset classes, ensuring adequate return on investment and adherence to policy.
Ensure compliance with relevant financial regulations, internal controls, and governance standards. Provide periodic reports and strategic insights to the executive team and Board on treasury and investment performance, risks, and opportunities.
Lead and develop a high-performing treasury and investment team, fostering a culture of performance, integrity, and continuous improvement.
Qualifications
Bachelor’s Degree in finance, Economics, Accounting, or related field (Master’s degree or MBA preferred)
Minimum of 10–15 years’ relevant experience in treasury, investment management, or corporate finance, with at least 5 years in a senior leadership role in a bank or financial services firm.
Relevant Professional certifications such as CFA, ACCA, ACT, or ICAN are highly desirable.
Strong understanding of capital markets, risk management, and corporate funding strategies.
Strong relationships with banks and financial institutions.