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Treasury Manager

Wakanow

Wakanow

Accounting & Finance
Lagos, Nigeria
Posted 6+ months ago
Job Objectives
The Treasury Manager is responsible for overseeing the company’s treasury functions, including cash management, liquidity planning, risk management, and financial investment activities.
Job Responsibilities
Cash Management
• Monitor daily cash positions and ensure adequate liquidity for operational needs.
• Manage short-term borrowing and investment activities to optimize cash flow.
• Forecast cash flow requirements and develop strategies to maintain optimal cash levels.
Liquidity Planning
• Develop and implement strategies to manage the company’s liquidity risk.
• Prepare and maintain cash flow forecasts, ensuring alignment with business plans.
• Identify and mitigate potential liquidity gaps.
Risk Management
• Assess and manage financial risks related to currency exchange, interest rates, and credit.
• Develop and implement hedging strategies to mitigate financial risks.
• Ensure compliance with internal policies and regulatory requirements.
Investment Management
• Oversee the company’s investment portfolio, including the evaluation and selection of investment opportunities.
• Monitor investment performance and recommend adjustments to align with financial goals.
• Conduct due diligence on potential investment opportunities.
Banking Relationships
• Maintain and develop relationships with financial institutions and banking partners.
• Negotiate banking and financing arrangements to secure favorable terms.
• Manage bank accounts, ensuring optimal structure and utilization.
Debt Management
• Oversee the company’s debt portfolio, including issuance, refinancing, and repayment strategies.
• Ensure compliance with debt covenants and reporting requirements.
• Develop strategies to optimize the company’s capital structure.
Reporting & Analysis
• Prepare regular reports on cash positions, liquidity forecasts, investment performance, and financial risks.
• Provide insights and recommendations to senior management based on financial analysis.
• Support the preparation of financial statements and disclosures related to treasury activities.

Requirements

Job Requirements

• Bachelor’s degree in Finance, Accounting, Economics, or a related field; MBA or related advanced degree preferred.
• Professional certification such as Certified Treasury Professional (CTP) or Chartered Financial Analyst (CFA) is a plus.
• Proven experience in treasury management, cash management, financial risk management, or related roles.
• Strong understanding of financial markets, instruments, and investment strategies.
• Excellent analytical and problem-solving skills, with a high attention to detail.
• Proficiency in treasury management systems and financial modeling.
• Strong communication and interpersonal skills, with the ability to interact effectively with senior management, financial institutions, and other stakeholders.