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Group Treasurer at Flutterwave

Posted on Thu 09th Apr, 2026 - hotnigerianjobs.com --- (0 comments)


Flutterwave was founded on the principle that every African must be able to participate and thrive in the global economy. To achieve this objective, we have built a trusted payment infrastructure that allows consumers and businesses (African and International) make and receive payments in a convenient border-less manner.

We are recruiting to fill the position below:

Job Title: Group Treasurer

Location: Lekki, Lagos
Department: Finance

The Opportunity

  • Flutterwave is on a path to profitability, and the Group Treasurer is the architect of that journey.
  • This is a systems-first, infrastructure-building role at the heart of our global FX and Remittance engine.
  • Where the front office sources the fuel, the Group Treasurer builds the engine — designing the netting infrastructure, margin protection frameworks, and real-time data architecture that turn high FX volume into durable, high-margin revenue. In 2025, a focused middle-office effort helped increase Group FX margins from approximately 1% to 40%.
  • The Group Treasurer will consolidate and extend that foundation: deploying a global Treasury Management System (TMS), building automated FX blotters, eliminating hidden margin leaks, and providing the CFO and Board with an accurate, real-time view of Flutterwave's global liquidity and FX exposure every single day.

Key Responsibilties
Treasury Systems & Infrastructure:

  • Lead the global deployment and optimisation of Flutterwave's Treasury Management System (TMS — Kyriba or equivalent), integrating all feasible bank feeds to achieve real-time visibility across every corridor and entity.
  • Build and maintain automated FX Blotters and a daily FX Sub-Ledger that delivers a three-way reconciled view (Blotter vs. Bank vs. ERP) to the Finance team by 10:00 AM WAT, every business day.
  • Develop a real-time "Cash in Transit" dashboard, creating a clear asset vs. liability bridge for operational planning and liquidity management.
  • Drive the treasury function from a manual, spreadsheet-based model to a fully automated, audit-ready architecture — reducing human error, improving close times, and providing the data quality that Finance and Operations require to make fast decisions.

Netting, Internalization & Margin Optimization:

  • Design and operate a global Netting Engine that matches internal FX flows (NGN, KES, EGP, USD, GBP, and other key pairs), reducing Flutterwave's reliance on external Liquidity Providers (LPs) and capturing "Netting Alpha."
  • Drive internalization rates above 80% across the top 10 currency pairs as an initial target, with a stretch goal of 90%+ — directly lowering LP spread costs and improving Group margin.
  • Audit and eliminate hidden margin leaks, including third-party partner fees (e.g., Nuvei, Kublox) and cross-corridor subsidies, to ensure that no remittance corridor operates at a negative or unintended margin.
  • Develop an "Inventory Skew" pricing engine (Level 3 Pricing) that dynamically adjusts rates based on real-time inventory positions, generating measurable incremental margin from FX asymmetry.
  • Optimise the yield on idle corporate cash pools, targeting returns that outperform overnight benchmark rates by a minimum of 50 basis points.

Risk Management & Compliance:

  • Establish and maintain Flutterwave's Global Liquidity & Settlement Policy, defining formal settlement gap limits, pre-funding thresholds, and NOP controls for every corridor.
  • Ensure that the Group's Net Open Position (NOP) remains within Board-approved risk limits on 99%+ of trading days, with automated alerts for any potential breach.
  • Develop and maintain robust FX revaluation and mark-to-market processes, targeting zero material audit adjustments on NOP balances and FX sub-ledger positions.
  • Support the implementation of interest rate risk and counterparty credit risk frameworks in collaboration with the CFO and Group Risk function.
  • Ensure full compliance with relevant regulatory requirements across all jurisdictions in which Flutterwave operates, including reporting obligations related to FX positions and cross-border settlements.

Data Architecture & Reporting:

  • Serve as the primary provider of treasury data to the Finance team (Moronke) and Operations function (Lucia), ensuring that liquidity forecasts, corridor-level P&L, and NOP reports are accurate, timely, and actionable.
  • Achieve a forecast accuracy variance below 15% between Treasury's projected liquidity needs and actual cash usage, with a stretch target below 5%.
  • Design and maintain the FX revenue recognition framework, ensuring the Group has an accurate, corridor-level view of FX revenue, spread income, and net margin at all times.
  • Build the internal reporting infrastructure that allows the CFO and Executive team to monitor treasury performance without manual intervention — dashboards, exception reports, and scenario modelling tools.

Strategic Leadership & Collaboration:

  • Partner with the Head of FX Sales & Bank Treasurer to translate front-office deal flow into accurate pricing inputs providing the "logic layer" that tells the sales lead exactly how aggressively they can price while maintaining target margins.
  • Work closely with the Expansion and Product teams to support new corridor launches, banking partnership agreements, and treasury product development.
  • Present to the CFO, Board, and Audit Committee on treasury performance, risk exposures, system build-out progress, and margin optimisation outcomes.
  • Build and develop a high-performing treasury team, establishing clear roles, processes, and career pathways as the function scales.

Qualifications & Experience
Required:

  • Bachelor's Degree in Finance, Mathematics, Economics, or a related field required; Master's Degree or professional certifications (e.g., CFA, FRM, CTP, ACT) strongly preferred.
  • Minimum of 12 years oexperience in institutional treasury, fintech treasury architecture, or a closely related discipline, with clear evidence of systems-building and margin optimisation outcomes.
  • Demonstrable experience deploying or operating a Treasury Management System (Kyriba, FIS, or equivalent) in a multi-currency, multi-entity environment.
  • Deep technical expertise in FX accounting, automated blotter construction, Net Open Position management, and FX sub-ledger reconciliation.
  • A quantitative, data-driven mindset — comfortable working with raw transaction data, building financial models, and deriving unit economics from imperfect datasets.
  • Strong understanding of emerging market FX dynamics, remittance corridor economics, and global payment infrastructure.
  • Experience in developing and enforcing treasury policy frameworks, including liquidity management, settlement controls, and regulatory compliance.
  • Excellent communication skills, with the ability to translate complex treasury data into clear insights for non-treasury audiences including the CFO, Board, and Operations leadership.

Preferred:

  • Prior experience at a high-growth African fintech or international payments business with significant emerging market FX exposure.
  • Familiarity with netting engine architecture, LP management, and dynamic FX pricing models.
  • Experience with SQL and data visualisation tools (e.g., Tableau, Power BI, Looker) to supplement TMS-based reporting.
  • Understanding of crypto and DeFi workflow platforms as they relate to cross-border treasury management.

Application Closing Date
Not Specified.

How to Apply
Interested and qualified candidates should:
Click here to apply online


  

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