Treasury Officer at Moniepoint Inc. (Formerly TeamApt Inc.) recruitment

Full Time8 months ago
Employment Information

Job Summary 

We require an excellent candidate who is result-driven, prioritizes integrity and possesses strong leadership  potential. The financial accountant will be working with large data, perform multiple tasks and submit reports regularly to his/her supervisor. It is expected that the financial accountant would have a firm understanding of accounting, financial practices and regulations and exhibit high-level proficiency in using computers and applications as well as possess excellent communication skills. This position has the potential for further career development and interesting and satisfying professional challenges and benefits. 

Job Responsibilities 

  • Assist the Treasurer in establishing and maintaining systems and procedures to monitor and measure compliance with all liquidity metrics.
  • Assist the Treasurer in modeling and reporting the outcomes of each measure of liquidity risk to under set policies and procedures.
  • Daily, weekly, monthly, quarterly, and annual reporting on current and historical compliance or non-compliance with limits and guidelines with appropriate commentary.
  • Give prompt attention to breaches of limits and guidelines
  • Assist in the budget and balance sheet forecasting process.
  • Assist with the development of the bank’s funding plan, including modeling alternative funding strategies.
  • Understand and support the Treasurer in the FTP computation and advise ALCO on the necessary FTP changes. Ensure fairness in the adopted methodologies.
  • Prepare and submit daily ALM and monthly ALCO reports, including comprehensive commentary to ALCO.
  • Ensure the creation and maintenance of records for audit purposes and ensure processes are in line with internal policies.
  • Support the Treasury team in the execution of ALCO responsibilities and strategies, conduct and review balance sheet metrics including but not limited to pipeline analysis, and assessing funding requirements.
  • Collate information to support the Treasurer in drafting presentations for ALCO.
  • Ensure that all business units and support functions manage their ALM responsibilities effectively

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Skills
Financial ReportingAuditFinancial Planning