The Nigerian Stock Exchange, services the largest economy in Africa, and
is championing the development of Africa’s financial markets. The
Exchange offers listing and trading services, licensing services, market
data solutions, ancillary technology services, and more. It is an open,
professional and vibrant exchange, connecting Nigeria, Africa and the
world.
TEAM LEAD - TREASURY
Division: CEO
Department: Finance Department
Grade: Team Lead - Treasury
Report to: Chief Financial Officer
Estimated Date of Resumption: Thursday, June 1, 2017
JOB SUMMARY
The
Finance Department is within the Office of The CEO of The Exchange. The
Exchange needs a consummate finance professional with a strong
personality, good people management skills and the ability to work as a
team player to support the Department in maximising investment income as
well as assist to contain costs.
This is a an important back-office
role with high control responsibility as the holder is the Exchange’s
first line of defence in the process of ensuring the accuracy and
integrity of the Exchange’s transactions processing and maintenance of
integrity of financial system, also managing the liquidity position of
the Exchange.
KEY RESPONSIBILITIES
Process all transactions involving The Exchange into the relevant business systems (MICROSOFT AX DYNAMICS)
Ensure
that transactions processing are done in line with corporate policies,
accounting policies and relevant regulatory/legal pronouncements
Take
active part in the development and/or refinement of investment and
accounting policies as it relates to deals and transactions processing
Continuously
collaborate with the Information Technology Team to devise better and
more efficient methods for processing of transactions
Ensure that transactional documentations are complete with all the requisite approvals before such transaction is processed
Process
payment to contractors and suppliers. In addition, he/she must ensure
that payments are made within the approved TAT for transactions
processing
Ensure that post-mortem verification of all transactions
is conducted daily to ensure that errors and or irregularities are
discovered promptly and escalated to the departmental and/or divisional
head promptly.
Develop processes to ensure accounting of all treasury
transactions on ERP, compliance with investment policies, regulatory
requirements like exchange controls, anti-money laundering, CBN
regulations and ensure completeness and accuracy of ledger entries on
the financial statement.
Ensure appropriate treasury operations and
credit management policies and procedures and ensure continuous review
and update of the unit's policies to align with the departments’
objective on efficiency. Maximization of profitability of assets under
management and meeting of set targets from time to time by Management
Ensure timely preparation of board reports on the investment and portfolio position on a monthly and quarterly basis
Prepare confirmation letters for all treasury deals, ensuring that all deals promptly confirmed with counterparties
Ensure the timely preparation of weekly and monthly cash forecasts
Ensure that all transactional documents are filed in neat and easily retrievable manner
Prepare
weekly reconciliation of all bank accounts, maintained by The Exchange
which includes the investigation of all open items and timely resolution
of such items
Prepare monthly reconciliation of all bank accounts,
maintained by The Exchange and its subsidiaries which includes the
investigation of all open items and timely resolution of such items
Develop
processes that will achieve significant reduction in account
receivables, ensure prompt, billing of all the Exchanges’ customers and
payment of vendors according to terms on the purchase Order and the
Exchanges approved vendor processing cycle. Evaluate, develop and
implement cash management systems to optimize efficiencies and
continually explore opportunities to maximize funds and working capital
QUALIFICATIONS AND EXPERIENCE
University degree with emphasis on Economics, Finance & Accounting or any other numerate courses (sciences and Engineering)
At
least one relevant professional qualifications e.g. ACCA, ACA Minimum
of 5-7 years’ work experience in the Capital Market or banking business
within Treasury, Treasury operations and/or Financial Control
Must be
able to build strong partnerships with business and corporate staff,
communicate to a wide variety of audiences in clear, understandable
language
FUNCTIONAL COMPETENCIES:
Analytical Thinking
Budgeting
Financial Management
Financial Reconciliation
Numeric Skills
Treasury Management
Microsoft Office Packages
Behavioural Competencies:
Accountability
Attention to Detail
Change Management
Innovation
Integrity
Problem Solving
Time Management
CLICK HERE TO APPLY
DUE DATE: 12 May, 2017
The Nigerian Stock Exchange Job for Team Lead - Treasury
Like This Post? Please share!
0 comments:
Post a Comment