We are seeking to hire a Treasurer who will ensure that the bank’s liquidity and funding are safeguarded; business market & financial risks and cost element are identified and effectively managed in accordance with the banks policies and strategic objectives. Drive the generation of lowcost liability; maintain leadership position in money market bonds foreign currency and treasury /bills market. Become a destination bank for foreign portfolio investors. Effectively and efficiently manage the banks’ balance sheet position and substantially contribute to the financial performance of the bank
Job Title: Treasurer
Salary: Very Competitive
Experience: 1015 years in the Financial Industry
Location: Lagos
Department: Treasury
Line Supervisor: CEO
Responsibilities & Requirement
- A first degree or its equivalent in any discipline and relevant professional certifications e.g. ACI or Treasury Dealership Certificate.
- Post graduate degree such as MBA or professional qualification in Accounting FCA ACA
- A certificate Qualification in Treasury Management such as Chartered Financial Analyst or Treasurer Dealership Certificate is compulsory
- Minimum of 15 years postgraduation experience out of which 8 years must have been spent in treasury related function.
- Formulate and monitor strategies including analyzing and defining goals and targets for the treasury department.
- Supervise activities of the Treasury department.
- Define rates and prices for the bank’s treasury products.
- Advice treasury products price and rates to internal and external customers.
- Direct efforts to increase profitability through commissions and fee incomes on investments.
- Ensure optimum management of the bank’s balance sheet.
- Ensure the bank’s liquidity position is robust at all times.
- Oversee the research of and process to identify new business opportunities.
- Coordinate and manage relationships with external customers of the Treasury department and communicate new and current investment products to clients.
- Ensure compliance with regulatory requirements in the department.
- Ensure reports for regulatory authorities and management are prepared in time.
- Participate in various management meetings e.g. Asset & Liability Committee (ALCO).
- Perform other duties as assigned by the Executive Director Corporate Banking & Treasury
- Identify and manage business risks from both a customer and bank perspective by ensuring that appropriate control mechanisms are in place to minimize risk exposure.
- Mandatory knowledge of Accounting Finance Economics and business modelling.
- Excellent numerical skills & Knowledge & Understanding of the local & global financial markets.
- Excellent customer relationship development/Management.
- Good negotiation and social skills & Creative and innovative mindset.
- Knowledge and understanding of the bank’s products.
- Minimum of 5 years practical experience in screenbased dealing and twoway quoting system in financial instruments transactions.
- Good knowledge of product development.
- Excellent relationships with the regulatory authorities.
- Knowledge of money center’s domestically and globally