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Treasury Analyst at Interswitch Group

Posted on Thu 13th Nov, 2025 - hotnigerianjobs.com --- (0 comments)


Interswitch is an Africa-focused integrated digital payments and commerce company that facilitates the electronic circulation of money as well as the exchange of value between individuals and organisations on a timely and consistent basis. We started operations in 2002 as a transaction switching and electronic payments processing, and have progressively evolved into an integrated payment services company, building and managing payment infrastructure as well as delivering innovative payment products and transactional services throughout the African continent. At Interswitch, we offer unique career opportunities for individuals capable of playing key roles and adding value in an innovative and fun environment.

We are recruiting to fill the position below:

Job Title: Treasury Analyst

Location: Lagos

Description

  • The Treasury Analyst will be responsible for supporting the Treasury Manager in ensuring efficient liquidity management, cash forecasting, banking relationship management, investment monitoring, and compliance with internal controls.
  • The role will involve performing day-to-day treasury operations, supporting funding activities, and contributing to the achievement of the Group’s financial objectives.

Responsibilities

  • Assist in daily cash and liquidity management, ensuring sufficient funds are available for operational and strategic needs.
  • Prepare weekly and monthly cash flow forecasts and variance analysis reports.
  • Monitor and reconcile bank accounts, ensuring alignment between bank statements and internal records.
  • Support the execution and tracking of investment and borrowing activities, including interest and principal repayments.
  • Assist in managing foreign exchange transactions and maintaining FX exposure reports.
  • Prepare treasury-related reports, including cash flow statements, bank positions, and investment performance reports.
  • Support compliance with treasury policies, controls, and procedures.
  • Coordinate with banks for documentation, account openings/closures, and mandates updates.
  • Assist in maintaining treasury systems, ensuring data accuracy and timely updates.
  • Collaborate with Finance, Supply Chain, and other business units to optimize working capital and improve cash management processes.

Requirements

  • First Degree in Finance, Accounting, Economics, or a related discipline. Progress toward professional certification (ACCA, ICAN, CIMA, or ACT) is an advantage.
  • 1 - 4 years of relevant experience in treasury operations, financial services, or corporate finance environment.
  • Experience with banking operations, cash management, and reconciliations will be an added advantage.

Behavioral Competencies:

  • Attention to detail and strong analytical mindset
  • Integrity and ethical conduct
  • Effective communication and collaboration
  • Problem-solving and critical thinking
  • Proactive learning and adaptability

Skills:

  • Understanding of treasury operations including cash flow, banking, and FX transactions
  • Knowledge of financial instruments and treasury accounting principles
  • Strong Excel and financial modelling skills
  • Familiarity with ERP systems (Microsoft Dynamics preferred)
  • Good interpersonal and stakeholder management skills

Application Closing Date
Not Specified.

Sorry, this listing is no longer open.

  

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