Responsibilities
Liquidity management for the organization
Forecasting of medium and long term funding and hedging requirements where applicable
Daily cash management and debt facilities reporting
Preparation of management reports
Support the month end process where necessary
Qualifications
Bachelors degree in finance accounting business administration
Experience 1 3 years
Prefer certified treasury professional CTP or a chartered financial analyst CFA
Background with Bonds Cash flow Facilitations Loans factoring overdrafts securitization funds
Computer skills
Attention to detail
Analytical thinking
Communication skills
Time management
If you are interested send your updated resume to [email protected]