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We are building an ecosystem that simplifies how businesses accept payments, make payments and manage operations. This journey started in 2016 with simplifying access to financial services using "Kudi.ai" a chatbot integration that responds to financial requests on social apps.
It then morphed into powering a community of independent b...
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About You
A Bachelor's degree in Business or any related discipline from an accredited university.
PC Literacy in MS Word, Excel, Google suite and powerpoint etc
Good Knowledge of any Treasury Management Tool
Critical thinking, problem-solving and independent execution skills.
Ability to analyze, interpret and explain business different business cases.
Ability to work independently with a strong sense of ownership and also able to work as part of a team.
Demonstrated ability to handle multiple and changing priorities and to work well under pressure.
This person must be confident in making fast, well-reasoned decisions with minimal supervision.
About the Role
In this role you will be responsible for;
Daily reconciliation of cash position and preparation of cash forecast models.
Analysis of our Cash Position
Setting up Treasury Management Tool for Nomba.
Preparation of liquidity management reports for management use.
Funds Management
Funding of all vendors.
Manage the disbursement and payment to vendors on behalf of the Company.
Performing any other tasks or analysis which will contribute or give insight to NOMBA business Operations.
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