Treasury Analyst
Vacancy Code: OGC002
Location: Lagos
Employment Type: Full-time
Work Structure: Hybrid (2 days on-site weekly)
Job Summary
- We are seeking a commercially minded Treasury Analyst (FX) to support foreign exchange transactions, liquidity management, and treasury operations.
- The ideal candidate will have a solid finance background, a strong understanding of FX markets, and the ability to support treasury strategies that optimize cash flow and manage currency risk.
Key Responsibilities
- Support and execute foreign exchange (FX) transactions and settlements
- Monitor FX rates, market trends, and currency movements
- Assist with liquidity management and cash flow forecasting
- Support treasury operations, including funding, payments, and reconciliations
- Prepare treasury and FX reports for management review
- Maintain relationships with banks, FX counterparties, and financial institutions
- Ensure compliance with internal treasury policies and regulatory requirements
- Support risk management activities related to currency exposure
Requirements & Qualifications
- Background in Finance, Accounting, Economics, Banking, or related fields
- Proven experience working in a finance or treasury-related role
- Strong understanding of FX markets and treasury operations
- Excellent analytical, numerical, and reporting skills
- Proficiency in Microsoft Excel and financial analysis tools
- Strong attention to detail and ability to work under pressure
Salary
300,000 – N700,000 (commensurate with experience)
Application Closing Date
29th March, 2026.
How to Apply
Interested and qualified candidates should:
Click here to apply online