About the Role

We are seeking a Treasury Manager to take ownership of our liquidity management, investment planning, and financial risk oversight. The successful candidate will play a critical role in optimizing cash flow, strengthening funding structures, and ensuring compliance with CBN guidelines and other regulatory requirements.

Key Responsibilities


Oversee daily liquidity and cash flow to ensure smooth operations
Develop and execute short- and long-term funding strategies for lending operations
Manage asset-liability positions while mitigating financial and interest rate risks
Build and maintain strong relationships with banks and funding partners
Ensure full compliance with CBN and other regulatory requirements
Provide regular cash flow, funding, and financial projections to the CFO and Executive team
Lead treasury-related internal controls and prepare for audits


What We’re Looking For


Experience: 5–7 years in treasury/finance roles within a Microfinance Bank or financial institution
Strong knowledge of public sector lending and its impact on liquidity planning
Hands-on experience in cash management, ALM, and regulatory compliance
Excellent analytical, decision-making, and communication skills
Proficiency in treasury software and financial systems
Education: Bachelor’s degree in finance, Accounting, or related field
Professional Certification (ACA, ACCA, CTP) is an added advantage


Why Join Us?


Be part of a forward-thinking financial institution driving inclusive growth
Competitive compensation and benefits
A culture of innovation, compliance, and professional excel
  • Finance
  • Accounting
  • Audit