CA Global Headhunters is an international recruitment and staffing company with an in-depth focus on Recruitment in Africa. We recruit talent of the highest standard across African Sectors in Mining, Oil & Gas, Engineering, Banking, Finance, Legal, Insurance, Commodities and Agriculture. As the African markets further grow and develop, our skills and ex…
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- Contents
- Open Jobs
- Head of Treasury Products (Banking / Product Control / Finacle)
- Associate, Treasury (Derivatives / Structured Products / Capital Markets / Infrastructure Finance)
- General Manager (Steel / DRI / Sponge Iron / MBA)
Method of Application
Head of Treasury Products (Banking / Product Control / Finacle)
- Job Type Full Time
- Qualification MBA/MSc/MA
- Experience 8 – 10 years
- Location Lagos
- Job Field Finance / Accounting / Audit 
Job Description:
A Nigerian multinational bank and financial services company is in search of a Head of Product Control within the treasury space who will handle the end to end responsibility for the accounting, valuation and reporting of equities, fixed income and derivatives for the company and its subsidiaries.
Responsibilities:
- Daily and periodic reporting, analyses and investigation of all treasury P&L and balance sheets
- Profitability and risk measurement in every aspect of treasury and balance sheet management
- Valuation adjustments/provisions of all equities, fixed income and derivatives in accordance with IFRS
- Regulatory reporting
- Trade monitoring for compliance with regulations (CBN, etc.) and risk limits
- Price testing of inventory and other treasury balance sheet items
- Daily P&L and product balance sheet assurance between dealing systems (e.g. Finacle Treasury), core banking systems (e.g. Finacle), GL (e.g. EBS) and dealers (blotters, etc.), using market data from MLR, deal data from dealing system, Finacle and EBS
- Ensuring proofing of relevant accounts
- Enforcing rates and concessions discipline
- Performance Management
- Management Information support to executive and dealers in treasury
- Performance management of treasury
- Product development by providing input into accounting and design of new treasury products.
- Investigation of P&L and product balance sheet and variances arising from incorrect booking of transactions, system errors, or valuation issues
- Systems, processes and governance structure design and implementation as necessary to drive improvements
- Facilitate the development and improvement of level 2 treasury controls in ICEG, through evaluation of controls and processes and utilization of best practice
Requirements: Qualification and Skill
- Relevant financial degree from a reputable university
- Master’s degree
- Strong experiences and understanding of treasury products
- Currently working within the banking space
- 8 – 10 years of current, relevant experience, within the treasury product and product control space
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Associate, Treasury (Derivatives / Structured Products / Capital Markets / Infrastructure Finance)
- Job Type Full Time
- Qualification BA/BSc/HND
- Experience 4 – 8 years
- Location Lagos
- Job Field Finance / Accounting / Audit 
Candidates of all nationalities encouraged to apply
Job Description:
Our client is a Pan-African Development Financial Institution with a focus on infrastructure investment and they are currently seeking a Senior Associate, Treasury to support the Treasury team by concentrating their efforts on originating, structuring and executing treasury solutions.
Responsibilities:
- Provide guidance and support in structuring current product lines consisting of interest rate and currency derivatives, commodity derivatives, partial or full guarantees, credit enhancement, risk sharing facilities and customized derivative-based hedging solutions.
- Prepare appropriate financial models to evaluate Treasury/TCS transactions/Counterparties.
- Lead Treasury/TCS transaction negotiation/ documentation
- Represent the Treasury Client Solutions and Treasury in internal and external forums including international conferences, seminars and workshops and meetings with clients.
- Establish and maintain relationships with clients that would lead to new business opportunities.
- Market companys treasury solutions to potential clients/projects as well as banks.
- Conduct industry and market research to assist with business development efforts.
- Play a key role in achieving Treasury’s objectives, goals and key performance indicators (KPIs).
- Proactively identify, measure, and manage interest rate and currency risks on companies funded balance sheet in conjunction with the ALM team, to ensure compliance with the Corporation’s internal policies.
- Coordinate fixed income, money markets and FX trades as well as execute trades to hedge the Corporation’s market risk exposures as may be required from time to time.
- Work with the Treasurer and the Funding team on the implementation of the funding plan.
- Support the team in the negotiation of standard agreements (such as facility agreements, ISDA/CSAs, GMRAs) with eligible lenders and counterparties.
- Analyse the credit strength of Treasury counterparties and prepare appropriate transaction documentation for internal (investment and board committees) approval.
Requirements: Qualification and Skill
- Bachelor’s degree in Economics, Finance, Accounting, Engineering, Mathematics, Statistics, Business Administration or any other numerate discipline
- Possession of a relevant professional certification (CFA, ACA, FRM, ACI, CPA, CTP)
- 4-8 years of relevant experience in financial and/or capital markets, commodities, and structured finance (credit guarantees, structured debt funds and similar structures)
- Previous work experience within a DFI, commercial bank, investment bank or other capital-markets focused entity
- Strong skills in evaluating risk and ability to anticipate short-and long-term implications of investment decisions
- Experience in developing presentations of financial materials
- Strong oral and written communication skills in English. French will be a plus
- Strong working and market knowledge of Treasury and capital market products, including FX, Money Markets, Derivatives and other hedging structures
- A good understanding of financial and capital market products, liquidity risk and market risk management techniques and the application of derivatives for structuring hedging solutions
- Demonstrated ability to structure, negotiate and execute transactions
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General Manager (Steel / DRI / Sponge Iron / MBA)
- Job Type Full Time
- Qualification MBA/MSc/MA
- Experience 20 years
- Location Abuja
- Job Field Engineering / Technical 
Reference Number: 006 1102 RR
Job Description:
- Our client a Natural Resources and Steel producer, plan to do backward integration for Steel operations in Nigeria. We are looking for a dynamic leader to join as its General Manager / Chief Executive Officer, who will report to the board of directors
Responsibilities:
- Work closely with Project Management Consultant and other consultants involved during the Project Implementation stage and ensure the timely completion of project.
- Work closely with Project team and supervise the preparation of budget and ensure strict adherence to budget.
- Preparation of annual strategic and financial plan.
- Evaluate company’s financial and operational performance and devise action plan for continual improvements.
- Foster relationships and consistently maintain communication with board members.
- Work closely with HR and set Key Performance Indicators/Key Business Objectives for all department heads. Implement system to identify the training needs of manpower, optimum staffing and provide conducive requirement to achieve higher retention.
- Act as spokesperson for company in media, conferences, government agencies and general public; attend board and shareholder meetings.
- Work closely with the Finance and Operational team and supervise the preparation of monthly and quarterly financial budgets.
- Always work closely with Tax and Legal team and assure statutory compliance.
- Liaise with various Government Agencies for compliances under applicable rules and regulations.
- Develop and implement organization wide policies and procedures that will improve operational and financial effectiveness of the company.
- Continuous interaction with staff at all levels and collect feedback for effective bonding between senior executive team, managers and junior staffs and achieve common goal.
Requirements: Qualification and Skill
- Engineering Degree preferably in Mining/Metallurgy
- Master’s in business administration or similar relevant field would be an added advantage
- Minimum of 20 years of experience in Mining/Sponge Iron (DRI) industry out of which 10 years in Senior Management Level.
- Prior experience as CEO is an added advantage.
- Good knowledge of other business functions such as finance, legal, marketing, HR etc.
- Excellent communication and leadership skills
- Good knowledge of Corporate Governance.
- South African citizens are encouraged to apply
Benefits and Contractual information:
- Competitive salary package, fixed component (USD)
- Accommodation, Medical Aid and Company vehicle
- Annual Performance Bonus, variable component (up to 30% of Annual Package)
- 2 tickets per year, with 28 days leave (14 days per roster)
Method of Application
Use the emails(s) below to apply
- Head of Treasury Products (Banking / Product Control / Finacle) – Ikotze@caglobalint.com
- Associate, Treasury (Derivatives / Structured Products / Capital Markets / Infrastructure Finance) – Ikotze@caglobalint.com
- General Manager (Steel / DRI / Sponge Iron / MBA) – rroodt@camining.com
source: https://jobcenternigeria.com/job-opportunities-at-ca-global-2/
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