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Treasury and Investment Manager

Fadac Resources | Lagos, Nigeria

Full-time Posted today 0 views

About the Role

Fadac Resources is partnering with a prominent downstream oil and gas company in Nigeria to recruit a strategic and results-driven Treasury and Investment Manager. Due to continuous business expansion, our client requires an exceptional finance professional to lead treasury, liquidity, banking, and investment management activities, ensuring optimal funding, robust financial controls, and vital insights to support aggressive corporate growth.

Key Responsibilities
  • Manage daily cash positioning, cash-flow forecasting, liquidity planning, and working-capital requirements to meet strategic and operational needs.
  • Develop and maintain comprehensive short-, medium-, and long-term cash-flow forecasts while identifying opportunities to optimize idle cash.
  • Maintain and nurture strong relationships with commercial banks, financial institutions, investors, and various funding partners.
  • Support debt-raising, refinancing initiatives, working-capital facilities, guarantees, and other complex funding arrangements.
  • Monitor and ensure strict compliance with financing terms, debt covenants, and associated reporting obligations.
  • Partner with executive leadership to evaluate financial implications, risks, and expected returns for key business decisions and strategic projects.
  • Drive corporate finance activities, including financial modeling, valuation, business planning, and comprehensive transaction support.
Qualifications
  • Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related discipline.
  • Mandatory professional accounting certification such as ICAN or ACCA.
  • Possession of a CFA or MBA will be a distinct added advantage.
  • Minimum of 6 to 8 years of relevant working experience in treasury, corporate finance, investment analysis, banking, or consulting.
  • Demonstrable expertise in cash-flow management, liquidity planning, investment appraisal, and capital-raising activities.
  • Strong command of financial modeling, valuation techniques, forecasting, and advanced analytical skills.
  • Familiarity with enterprise ERP platforms, specifically Microsoft Dynamics, is advantageous.
Benefits
  • Competitive and attractive salary package aligned with industry standards.
  • Opportunities for continuous professional development and career advancement in the oil and gas sector.
  • Health insurance coverage and other performance-based employee incentives.

Skills

Treasury Management Cash Flow Forecasting Liquidity Planning Financial Modeling Corporate Finance Investment Analysis Capital Raising Working Capital Management
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