SENIOR TREASURY & FINANCIAL CONTROL OFFICER @ HCER CONSULTING
A fast-growing digital bank is seeking an experienced and detail-oriented Senior Treasury & Financial Control Officer to join their team in Lagos. This role is pivotal in overseeing critical treasury operations, ensuring liquidity stability, and maintaining rigorous financial controls. The successful candidate will be responsible for the daily management of cash flow, reconciling accounts, and supporting the broader financial planning processes within a dynamic Fintech environment. The position requires a high level of precision and a deep understanding of the intersection between traditional banking regulations and the evolving digital financial landscape.
The role involves high-level collaboration with financial institutions, external auditors, and regulatory bodies to ensure that all operations align with internal policies and national standards. Beyond operational tasks, the officer will identify potential financial risks and propose strategic mitigation measures to safeguard the institution's assets. This position offers a unique opportunity for finance professionals with over five years of experience to lead treasury functions in one of Nigeria's expanding digital banking sectors, contributing to the development of robust financial frameworks that support growth and stability.
The role involves high-level collaboration with financial institutions, external auditors, and regulatory bodies to ensure that all operations align with internal policies and national standards. Beyond operational tasks, the officer will identify potential financial risks and propose strategic mitigation measures to safeguard the institution's assets. This position offers a unique opportunity for finance professionals with over five years of experience to lead treasury functions in one of Nigeria's expanding digital banking sectors, contributing to the development of robust financial frameworks that support growth and stability.
Key Requirements
Bachelor’s Degree in Finance, Accounting, Economics, or related field.
Professional certification such as ACA, ACCA, CFA, or ICAN is highly preferred.
Minimum of 5 years relevant experience in treasury, financial control, or banking operations.
Strong knowledge of banking regulations and treasury management frameworks.
Proficiency in financial reporting standards and advanced Microsoft Excel skills.
Strong analytical, organizational, and problem-solving skills to manage complex data.
Previous experience working within a digital bank or fintech environment.
Demonstrated ability to manage daily treasury operations and cash flow activities.
Excellent communication skills for liaising with auditors and regulatory bodies.
Proven track record in identifying financial risks and recommending mitigation strategies.
Ability to support investment and fund management activities effectively.