Offre fiable
Treasury Officer - Neveah Limited, Lagos
Neveah Limited
Lagos, Nigeria
CDI
Publiée il y a 2 mois · Expire dans 3 semaines
Description du poste
This vacancy presents a chance to join a leading organization.
Location: Mowe (Lagos–Ibadan Expressway), Ogun
Role Overview
- To manage the company’s cash flow, banking relationships, funding, foreign exchange exposure, and payment obligations in support of efficient recycling operations, raw material procurement, production continuity, and sales revenue optimization.
- Monitor daily cash positions across all bank accounts and currencies.
- Ensure adequate liquidity for raw material purchases (scrap aluminum, copper, dross), logistics, fuel, and plant operations.
- Prepare daily, weekly, and monthly cash flow forecasts.
- Optimize cash utilization and minimize idle funds.
- Manage relationships with commercial banks, microfinance banks, and financial institutions.
- Negotiate banking charges, loan terms, overdrafts, and credit facilities.
- Coordinate short-term working capital financing for high-volume scrap purchases.
- Ensure timely repayment of loans, overdrafts, and interest obligations.
- Oversee timely processing of supplier payments, especially scrap dealers, transporters, utilities, and contractors.
- Coordinate collections from customers, exporters, and local buyers of aluminum ingots, copper cathodes, and dross by-products.
- Monitor receivables aging and escalate overdue accounts.
- Manage FX exposure related to importation of equipment, spare parts, consumables, and export sales (where applicable).
- Execute FX purchases and conversions in line with approved policies.
- Support export documentation, repatriation of proceeds, and trade finance instruments (LCs, Form NXP, etc.).
- Monitor FX rates and advise management on timing of conversions.
- Ensure compliance with internal treasury policies, approval limits, and segregation of duties.
- Maintain proper documentation for all treasury transactions.
- Support audit processes by providing treasury schedules, bank confirmations, and reconciliations.
- Ensure compliance with CBN, tax, and regulatory requirements.
- Prepare treasury reports:
- Daily cash position
- Weekly cash forecast
- Monthly bank reconciliation summaries
- FX exposure reports
- Provide financial insights to management for procurement, production planning, and capital expenditure decisions.
- Suppor...
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