These roles involve assisting with treasury functions such as monitoring cash positions, managing petty cash, and supporting the treasury team with financial analysis and reporting for organizations in sectors like finance, logistics, and banking.
Roles and Responsibilities
Cash Management: Assisting with daily cash deposits, withdrawals, and payments, as well as managing the organization's cash position.
Financial Record Keeping: Maintaining accurate financial records and processing payments and vouchers.
Reporting: Supporting the treasury team in preparing financial reports and assisting with month-end processes.
Petty Cash Administration: Monitoring and administering the organization's petty cash fund.
Internal Controls: Assisting with internal controls and compliance procedures.
Requirements
Bachelor's degree in Economics, or a related field.
NYSC Enrollment: The candidate must be currently serving or about to start their mandatory NYSC program.
Skills: Strong analytical and problem-solving skills, proficiency in Microsoft Office (especially Excel), and excellent communication skills are beneficial.
You must be data & research-driven.
Computer literate - experienced using G Suite, Slack, social media (LinkedIn), etc.
Fantastic organizational and time management skills.