Head, Treasury Marketing
Pivotage Consulting
Lagos, Nigeria
4d ago
source : Fuzu

You will be responsible for increasing the organization's profitability by efficiently managing the organization’s funds through trading / investment and corporate sales and catering to the domestic and international market within the approved regulatory framework guidelines.

You will also be responsible for effectively and prudently managing the organization's liquidity and mitigating its operational, financial and reputational risks.

Directs preparation of fiscal records and financial plans, policies, and reports.

Ensures compliance with GAAP, SEC, FASB, SOX and other regulatory requirements.

Directs oversight of audits, works closely with the Board Audit Committee.

Financial operations and consolidation of subsidiaries.

Participates in the development of the corporation's plans and programs.

Develops and communicates financial vision and strategy.

Directs preparation of annual operating and business fiscal plans (budgets).

Develops financial forecasts and monitors financial health, monitoring guardrails around financial commitments.

Works with the business to optimize business performance and planning.

Provides strategic financial input and leadership on decision making issues affecting the organization (i.e., evaluation of potential alliances acquisitions and / or mergers and pension funds and investments).

Evaluates capital expenditures, investment activities and portfolio management.

Ensures timely and accurate business / financial reports and plans; presents them to the Partners across all business units to increase financial transparency in management reporting and business line performance.

Manages treasury function, including meeting short and long-term funding needs.

Determines appropriate capital structure.

Initiates and oversees execution of all capital market transactions.

Manages tax function

Understands how regulatory reform will impact the business and helps ensure the business is best positioned to respond.

Manages aspects of risk through accounting, audit, planning and treasury functions

Manages investor relations function

Serves as company’s representative to financial / investment community and shareholders.

Manages banking and investment banking relationships

Manages A / R, A / P relationships with third-party vendors and customers

Oversees and delivers recommendations to Board and Board committees regarding financials, audit matters, investments, and strategic initiatives and direction.

JOB REQUIREMENT

Bachelor’s degree in accounting, business, management, or finance required

MBA / CFA or an advanced degree in business, management, or finance required

Minimum 7 years of experience in finance and treasury.

Supervisory experience

Strong treasury background.

Knowledge of capital markets, accounting, finance, and tax.

Knowledge of MS Office including Excel.

Knowledge of appropriate accounting software packages

Strategic planning

Verbal communication skills

Written communication skills

Report this job
checkmark

Thank you for reporting this job!

Your feedback will help us improve the quality of our services.

Apply
My Email
By clicking on "Continue", I give neuvoo consent to process my data and to send me email alerts, as detailed in neuvoo's Privacy Policy . I may withdraw my consent or unsubscribe at any time.
Continue
Application form