Treasury Manager at Carbon Nigeria

15 days ago

San Francisco, California, United States

Remote

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Job Description

Carbon Nigeria is seeking a Treasury Manager to oversee financial assets, cash management, and debt management functions. The role involves ensuring corporate liquidity, managing financial risks, and supporting treasury-related M&A activities. Candidates should have a degree in finance, 5+ years of experience in financial services, and strong analytical skills. The position is full-time and offers a remote working option within a multinational team.
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Company:
Location: Nigeria
State:
Job type: Full-Time
Job category:
Carbon is a pan-African digital bank with a mission to provide friction-free finance to its customers. Carbon promises to play a fundamental role in its customers’ lives where ever they are, and with flexible solutions. We pride ourselves on our efficiency and with just $10mm of equity raised in 2015, we have disbursed over $100m in loans and earned more than $30mm in revenue over the last 2 years. Carbon has operations in Ghana, Kenya, and Nigeria, supported by a talented team spread between Lagos, Nairobi, London, Argentina, and Palo Alto so we operate with a remote-first mindset.
We Are Recruiting To Fill The Position Below
Job Title: Treasury Manager
Location:
Lagos
Employment Type: Full-Time
Department: Finance
Role
The Treasury Manager will maintain stewardship for financial assets and debt including overall leadership of the cash management, debt management, and investment management functions of Carbon and its affiliated entities.
Ensures the maintenance of corporate liquidity and financial stability.
Responsibilities
Oversees daily management of cash and debt.
Oversees cash flow forecasting.
Establishes fixed income investment positions.
Manages financial risk as it relates to treasury operations
Analyzes and recommends potential alternative financing structures and explains/shows their impact on the balance sheet, tax effects, and financial ratios.
Develops and implements cash management operational strategies.
Assesses foreign exchange risk and implements hedge programs and strategies.
Implements hedge strategies.
Supports M&A activity related to treasury functions, including financial modeling, due diligence, and treasury integration.
Assists with reporting for the board and external financial institutions
Key Accountability Areas & Time Allocation:
Fundraising, Funds Management – 70%
Financial Analysis – 15%
Funds Management & Budgeting – 10%
Requirements
Business or finance-related Degree from a top-tier University or College.
MBA, Professional certification – CFA, ACI.
Minimum of 5 years financial experience within financial services preferably investment banking
Solid Financial Modelling skills.
Essential Skills And Experience
Financial Services relationships
Cash management operations
Cash flow forecasting
Good analytical and financial abilities.
Superb spoken and written communication.
Outstanding interpersonal skills with a collaborative style of working.
Benefits
A great and upbeat work environment populated by a multinational team.
Potential to work in different geographies.
Health Insurance.
Life Insurance
Career development & Growth.
We are advocates of work-life balance and offer a remote working option.
Application Closing Date
Not Specified.
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