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  • Posted: Nov 27, 2024
    Deadline: Not specified
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    The Dangote Group is one of the most diversified business conglomerates in Africa with a hard-earned reputation for excellent business practices and products' quality with its operational headquarters in the bustling metropolis of Lagos, Nigeria in West Africa. The Group's activities encompass: Cement - Manufacturing / Importing Sugar - Manufacturing ...
    Read more about this company

     

    Treasury Analyst - Foreign Payments

    Description

    • Dangote Cement Limited is seeking a highly motivated and detail-oriented Treasury Analyst who will be responsible for payments and funding of all transaction and all receipts, telexes related to the disbursed funds regarding the company.
    • The ideal candidate will prepares a variety of financial records, schedule and reports for all bills and payment through the company’s accounts and maintains such in daily financial reports.

    Key Duties and Responsibilities

    • Liaise with Global Trade Department and Banks on all LCs processed for all plants and ensuring update of LCs register.
    • Liaise with all plants in respect of pending import documentations for spares, equipment, and raw materials for cement manufacturing.
    • Collation of all plant’s requests in respect of forms M and LCs processing for spares, equipment and other raw materials and follow up with Global Trade and Banks to ensure seamless processing
    • Maintain registers of all forms M showing update on issuance, LC establishment and unutilized balances.
    • Advise all processed LCs to the Plants immediately on receipt of transmitted telexes from the bank.
    • Preparation of approval memos for funding & payment of Letters of Credit
    • Generate letter for funds transfers to banks for funding of operations accounts for FX Bids through CBN & Interbank Purchases.
    • ·Review bank statements for debits in respect of LCs cost and Trade Line Charges and forward it to accounts for immediate posting.
    • Prepare daily balances and sales collection reports.
    • Analyse daily statements of accounts and ensure all exceptions are taken up for appropriate corrections either by the bank or by Treasury Unit.
    • Generate Account Statements to reconcile payments that have been made from for CBN Bids or LCs establishment.
    • Supervise Proper and orderly filing by providing necessary documents to the Scanning Officer to enhance easy storage and retrieval.
    • Responding to transactions complaints and addressing transaction-related issues.
    • Any other duties as may be assigned by immediate supervisor and the Group Treasurer & RCFO / GCFOLiaise with Global Trade Department and Banks on all LCs processed for all plants.

    Requirements

    Education and Work Experience

    • Bachelor’s degree or its equivalent in Accounting, Finance, Economics or any other related discipline.
    • 3 - 9 years relevant work experience.

    Skills and Competencies

    • Good understanding of trends, challenges, opportunities, regulations and legislations relating to the cement manufacturing industry.
    • Good knowledge and understanding of Treasury best practices, IFRS, and other applicable accounting standards.

    Key Requirements.

    • Basic knowledge of accounting packages and systems, including SAP.
    • Good communication and interpersonal skills.
    • Good Organizational skills.
    • Good data gathering, analysis and problem solving skills
    • High ethical standards and integrity.
    • Proficiency in the use of MS Office tools.
    • Ability to work independently under minimal supervision.

    go to method of application »

    Treasury Analyst - Assets and Liability Management

    Description

    • Dangote Cement Limited is seeking a highly motivated and detail-oriented Treasury Analyst who will be responsible for Collation of all plant's request in respect to Forms M and LCs processing for spares, equipment and other raw materials and follow up with Global Trade and Banks to ensure seamless process.

    Key Duties and Responsibilities

    • Prepares obligation report, reconciliation and confirmation of LCs balances.
    • Ensures timely reconciliation of open items in ledger and bank statement
    • Collation of all plant's request in respect to Forms M and LCs processing for spares, equipment and other raw materials and follow up with Global Trade and Banks to ensure seamless process.
    • Maintain registers of all forms M showing update on issuance, LC establishment and unutilized balances.
    • Liaise with global trade department and banks on all LCs processed for all plants and ensuring update of LCs register.
    • Preparation of cashflow forecast and liquidity management.
    • Advise all possessed LCs to plants immediately on receipt of transmitted telexes from the bank.
    • Prepare of approval memos for funding and payment of LCs.
    • Generate letter for funds transfers to banks for funding of operations for FX bids through CBN and interbank purchases.
    • Review bank statements for debits in respect of LCs cost and trade line charges and forward to account for immediate posting.
    • Prepare consolidated daily balances and sales collection reports.
    • Overdraft and Bond coupon payment analysis for payment and collections.
    • Analyze daily statements of account and ensure all exceptions are taken up for appropriate corrections either by the bank or by Treasury Unit.
    • Generate account statements to reconcile payments that have been made from CBN bids or LCs establishment.

    Requirements

    Education and Work Experience

    • Bachelor’s degree or its equivalent in Accounting, Finance, Economics or any other related discipline.
    • 6 - 9 years relevant work experience.

    Skills and Competencies

    • Good understanding of trends, challenges, opportunities, regulations and legislations relating to the cement manufacturing industry.
    • Good knowledge and understanding of Treasury best practices, IFRS, and other applicable accounting standards.

    Key Requirements.

    • Basic knowledge of accounting packages and systems, including SAP.
    • Good communication and interpersonal skills.
    • Good Organizational skills.
    • Good data gathering, analysis and problem solving skills
    • High ethical standards and integrity.
    • Proficiency in the use of MS Office tools.
    • Ability to work independently under minimal supervision.

    go to method of application »

    Treasury Analyst - Naira Payments

    Description

    • Dangote Cement Limited is seeking a highly motivated and detail-oriented Treasury Analyst who will be responsible for payments for statutory fees, terminal bills, delivery, handling, and other expenses related to imported gypsum consignments.

    Key Duties and Responsibilities

    • Prepare approval memos for funding and payment of plant transactions.
    • Generate letters for fund transfers to banks and for funding operational accounts.
    • Follow up with banks to ensure that draft requests and duty payment instructions are processed.
    • Remit payments to other Strategic Business Units (SBUs) as instructed by the Group Treasurer.
    • Process payments for statutory fees, terminal bills, delivery, handling, and other expenses related to imported gypsum consignments.
    • Compile and prepare heavy ticket expense reports for approval by the Head of Treasury and the Group Chief Financial Officer (GCFO).
    • Allocate and monitor large expense items approved by the GCFO, ensuring accuracy and completeness.
    • Raise memos and seek approval for the purchase of foreign exchange (FX) authorized by the Group Treasurer/GCFO.
    • Prepare memos and flow approvals for urgent FX purchases for DIL, Dangote Oil & Gas, and other SBUs as directed by the Head of Treasury and Group Treasurer.
    • Prepare daily balance and sales collection reports.
    • Analyze daily account statements and ensure all discrepancies are addressed by either the bank or the Treasury Unit.
    • Generate account statements to reconcile payments made from the DCP-Cash Call account.
    • Prepare the monthly USD cash flow report for Obajana.
    • Compile monthly consolidated cash flow reports for both Naira and FX positions across all plants in Nigeria and Africa.
    • Perform any other duties assigned by the immediate supervisor, Group Treasurer, or RCFO/GCFO.
    • Assist sales and marketing staff with issues related to customer payments and confirmations.
    • Liaise with the reconciliation team to resolve unresolved transactions and postings.
    • Draft letters for issuing drafts and other payments to vendors.
    • Follow up with corporate sales to confirm revenue receipts and Accounts Payable Bank Guarantees (APBG).
    • Process import duty receipts and forward them to the Clearing and Documentation Department.
    • Prepare the Withholding Tax (WHT) schedule and VAT remittance letters for bank payments.
    • Ensure all e-receipts and credit notes related to tax remittances are collected, properly filed, and available when needed.
    • Supervise the orderly filing of all documents to facilitate easy storage and retrieval.

    Requirements

    Education and Work Experience

    • Bachelor’s degree or its equivalent in Accounting, Finance, Economics or any other related discipline.
    • 3 - 9 years relevant work experience.

    Skills and Competencies

    • Good understanding of trends, challenges, opportunities, regulations and legislations relating to the cement manufacturing industry.
    • Good knowledge and understanding of Treasury best practices, IFRS, and other applicable accounting standards.

    Key Requirements.

    • Basic knowledge of accounting packages and systems, including SAP.
    • Good communication and interpersonal skills.
    • Good Organizational skills.
    • Good data gathering, analysis and problem solving skills
    • High ethical standards and integrity.
    • Proficiency in the use of MS Office tools.
    • Ability to work independently under minimal supervision.

    Method of Application

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