Posted on Thu 10th May, 2018 - hotnigerianjobs.com --- (0 comments)
Deloitte Nigeria - Our client is an investment company involved in diverse economic activities which includes: Property Development and Management, Hospitality, Telecommunications, Printing and Publication, Agriculture, Training and Personnel Development, Capacity Building among other things.
The client seeks to attract, motivate and retain qualified staff into the position below:
Job Title: General Manager, Treasury and Investment
Reference Number: INV001
Location: Lagos
Job Details
Treasury and Investment role is for the Conglomerate/ Investment Company based in South West. Our client has been in existence for over four decades with very impressive diverse investment portfolio.
Job Summary
To manage the Group’s treasury operations and ensure optimal performance of its investment portfolios. The individual would be responsible for financial appraisal, due diligence and capital raising for new investments, towards the development and achievement of the Group’s strategic goals and objectives.
Responsibilities
Manages all cash management functions including cash concentration, wires, account funding
Oversees cash management and ensure adequate liquidity for working capital needs and invest short term excess cash
Manages inter-company cash including inert-company lending, dividends and capital injections
Establishes and maintains short term credit availability, including revolving credit agreements and commercial paper programmes, to provide liquidity for the Group
Coordinates direct cash management for the Group including forecasting, collection, disbursement, investment of excess funds, short term borrowing and interest rate management
Facilitates Group’s relationships with commercial banks financial institutions, payment service providers and lenders
Negotiates bank and service fees. Implements new technologies, products and services to improve cash cycles and simplify company operations
Supports leasing analysis and pricing
Ensures compliance with internal controls, policies and procedures
Develops and monitors treasury operational policies
Coordinates and oversees activities of investment managers, investment advisors, custodians to ensure optimal management of plan assets
Participates in matters relating to pension plan accounting, funding, actuarial valuations, governance and other corporate issues related to investments of the Group
Support long term capital markets activities including public debt financings
Proposes prudent treasury risk exposure limits and strategies for minimizing risks
Appraises the viability of investments in financial derivatives based on in-depth understanding of its dynamics
Serves as technical resource/expert on financial instruments usage and investments
Defines strategy for creating and managing financial assets & liabilities for the Group
Determines optimum mix of assets and liabilities to be held by the Group at any point in time
Determines rate of return and cost of capital for the Group’s asset/ liability products
Evaluates financial instruments and negotiate best rates on investments without running undue risk to the Group
Evaluates the Group’s funding exposures and risks; identifying, measuring, and controlling the Group’s asset-liability matching (maturities, foreign exchange (FX) and interest rates)
Understands the market sentiments and take advantage of market trends and information to predict future market behaviour
Utilises knowledge of financial instruments to propose funding/ investment strategies as required
Quantifies and hedge against direct and indirect non-traded market risk and other liquidity risks
Understands global and international trends in cost of capital and its effect on the local economy.
Required Qualification
Minimum of ten (10) years relevant management experience, with at least three (3) years at senior management level
Candidates' state of origin should be within the South - West zone
A Bachelor's Degree in Finance/Accounting and other related discipline from a reputable tertiary institution. A post graduate Degree in related disciplines will be an added advantage
Relevant professional qualification / membership, e.g. ACA, CFA, Chartered Institute of Stockbrokers
Excellent understanding of Fund Management, Capital and Money Market Operations, etc.
A proven track record in managing a mixed asset investment portfolio and securing financing for new business ventures
Prior experience with Banking institutions and debt capital market / documentation will be an added advantage