Location: Lagos (Victoria Island)
Industry: Banking / Financial Services
Employment Type: Full-time
Job Summary
The Treasurer will lead the banks treasury function overseeing liquidity management treasury sales deposit mobilization investment activities and funding strategy. The role is responsible for driving profitability managing risk and supporting overall financial stability.
Key Responsibilities
Asset & Liability Management
Develop and drive the banks liability strategy in collaboration with EXCO
Ensure proper funding of all bank transactions credits and projects
Prevent fund mismatches and manage short-term liquidity gaps
Trade surplus funds to optimize returns
Mobilize high-volume deposits across the liquidity matrix
Develop strategies to achieve treasury sales targets
Propose new investment funds and treasury products
Review equity market opportunities and provide recommendations
Support branches and units with deposit mobilization and cross-selling
Finance & Liquidity
Monitor and manage liquidity positions
Forecast medium and long-term funding requirements
Manage debt facilities and daily cash positions
Drive unit profitability and monitor income generation
Oversee the banks investment funds
Maintain a low weighted average cost of funds
Stakeholder & Process Management
Liaise with senior management and key stakeholders
Maintain relationships with corporate customers
Authorize acceptable deposit rates across the bank
Develop treasury policies and procedures with strong internal controls
Implement risk mitigation strategies for interest rate and liquidity risk
Reporting
Prepare Board and ALCO reports
Produce weekly gap analysis reports
Prepare MIS reports on treasury and investment activities
Requirements
- First degree in Finance Banking Investments or related discipline
Masters degree and professional certifications are added advantages
Minimum of 10 years experience managing a treasury function
Strong understanding of accounting principles and financial markets
Core Competencies & Skills
Asset & liability management
Treasury sales and operations
Cash and liquidity management
Investment analysis and money market trading
Financial modeling forecasting and gap analysis
Risk management and process improvement
Strong analytical and reporting skills
Proficiency in MS Word Excel and PowerPoint
Benefits
Compensation
Total Gross: 35m 39m annually
Guaranteed Net: 29m 33m annually other benefits.
Deadline: 11th Jan 2026
Location: Lagos (Victoria Island)Industry: Banking / Financial ServicesEmployment Type: Full-timeJob SummaryThe Treasurer will lead the banks treasury function overseeing liquidity management treasury sales deposit mobilization investment activities and funding strategy. The role is responsible for ...
Location: Lagos (Victoria Island)
Industry: Banking / Financial Services
Employment Type: Full-time
Job Summary
The Treasurer will lead the banks treasury function overseeing liquidity management treasury sales deposit mobilization investment activities and funding strategy. The role is responsible for driving profitability managing risk and supporting overall financial stability.
Key Responsibilities
Asset & Liability Management
Develop and drive the banks liability strategy in collaboration with EXCO
Ensure proper funding of all bank transactions credits and projects
Prevent fund mismatches and manage short-term liquidity gaps
Trade surplus funds to optimize returns
Mobilize high-volume deposits across the liquidity matrix
Develop strategies to achieve treasury sales targets
Propose new investment funds and treasury products
Review equity market opportunities and provide recommendations
Support branches and units with deposit mobilization and cross-selling
Finance & Liquidity
Monitor and manage liquidity positions
Forecast medium and long-term funding requirements
Manage debt facilities and daily cash positions
Drive unit profitability and monitor income generation
Oversee the banks investment funds
Maintain a low weighted average cost of funds
Stakeholder & Process Management
Liaise with senior management and key stakeholders
Maintain relationships with corporate customers
Authorize acceptable deposit rates across the bank
Develop treasury policies and procedures with strong internal controls
Implement risk mitigation strategies for interest rate and liquidity risk
Reporting
Prepare Board and ALCO reports
Produce weekly gap analysis reports
Prepare MIS reports on treasury and investment activities
Requirements
- First degree in Finance Banking Investments or related discipline
Masters degree and professional certifications are added advantages
Minimum of 10 years experience managing a treasury function
Strong understanding of accounting principles and financial markets
Core Competencies & Skills
Asset & liability management
Treasury sales and operations
Cash and liquidity management
Investment analysis and money market trading
Financial modeling forecasting and gap analysis
Risk management and process improvement
Strong analytical and reporting skills
Proficiency in MS Word Excel and PowerPoint
Benefits
Compensation
Total Gross: 35m 39m annually
Guaranteed Net: 29m 33m annually other benefits.
Deadline: 11th Jan 2026
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