Posted on Wed 20th May, 2026 - hotnigerianjobs.com --- (0 comments)
Veridion Advisory Partners - Our client is a licensed fintech-driven microfinance bank positioned to redefine digital financial inclusion through technology-enabled lending, payments, and savings solutions. As a startup institution entering a critical growth phase, the organization is building a scalable digital banking model designed to serve individuals, SMEs, and underserved markets through secure, data-driven financial services aligned with CBN regulatory standards.
We are recruiting to fill the position below:
Job Title: Senior Treasury & Financial Control Officer
Location: Lagos
Employment Type: Full-time
Job Description
The role is responsible for building and managing the Bank’s treasury, financial control, accounting, and liquidity management functions from the ground up within a fintech-driven digital microfinance bank.
The successful candidate will establish treasury structures, financial control frameworks, accounting processes, reporting standards, liquidity monitoring systems, and financial governance mechanisms required to support a fast-growing regulated financial institution.
The role requires a highly analytical, commercially driven, and execution-focused professional with strong experience in treasury operations, financial reporting, balance sheet management, liquidity management, fixed deposit portfolio management, regulatory reporting, and financial controls within banking or financial services environments.
The ideal candidate must be capable of operating independently, providing strategic direction, developing policies and frameworks, and building scalable treasury and finance operations without requiring constant supervision.
Responsibilities
Treasury & Liquidity Management:
Develop and implement the Bank’s treasury management framework and operational structure from inception.
Manage daily liquidity positions and ensure optimal cash flow management across the Bank.
Monitor liquidity ratios and ensure compliance with CBN liquidity requirements.
Manage interbank placements, investment activities, and short-term funding strategies.
Develop strategies for deposit mobilization, fixed deposit growth, and liability generation.
Monitor funding costs and optimize the Bank’s cost of funds.
Support balance sheet optimization and asset-liability management initiatives.
Prepare liquidity forecasts, cash flow projections, and treasury performance reports.
Establish treasury policies, procedures, controls, and escalation frameworks.
Financial Control & Accounting:
Build and manage the Bank’s financial control and accounting framework from the ground up.
Establish accounting policies, financial procedures, and internal financial controls.
Oversee the preparation of daily, weekly, monthly, quarterly, and annual financial reports.
Ensure accuracy and integrity of the general ledger and financial records.
Manage account reconciliations, suspense accounts, and financial exception resolution.
Supervise financial closing processes and reporting timelines.
Ensure compliance with IFRS standards, CBN guidelines, and regulatory reporting requirements.
Coordinate external audits, internal audits, and regulatory examinations.
Monitor financial transactions to prevent leakages, irregularities, and control weaknesses.
Financial Planning & Performance Monitoring:
Support budgeting, forecasting, and financial planning processes.
Monitor financial performance against approved budgets and business targets.
Analyze profitability, revenue performance, operating costs, and financial efficiency ratios.
Develop financial dashboards, MIS reports, and executive performance reports.
Provide financial insights and recommendations to Executive Management.
Support strategic decision-making through financial analysis and scenario planning.
Regulatory & Compliance Reporting:
Prepare and submit statutory and regulatory reports to CBN, NDIC, and other regulators.
Ensure compliance with tax obligations, financial regulations, and statutory requirements.
Maintain proper documentation for regulatory reviews and audits.
Monitor changes in financial regulations and implement required updates.
Control, Governance & Risk Management:
Establish strong maker-checker controls across treasury and finance operations.
Develop frameworks to mitigate financial, liquidity, operational, and reporting risks.
Implement financial governance and approval control processes.
Ensure proper segregation of duties and transaction authorization controls.
Strengthen operational discipline and financial accountability across the Bank.
Educational Qualifications
Bachelor’s Degree in Accounting, Finance, Economics, Banking, or related discipline.
MBA or relevant postgraduate qualification is an advantage.
Professional certifications such as ACA, ACCA or equivalent will be an added advantage.
Experience:
Must have 6–10 years experience in Treasury, Finance, Financial Control, or Accounting within banking, fintech, or financial services.
Strong experience in treasury operations, liquidity management, financial reporting, and regulatory reporting.
Experience in microfinance banking, digital banking, fintech, or financial institutions is highly desirable.
Proven experience establishing processes, controls, and reporting frameworks.
Strong understanding of CBN regulations, NDIC requirements, and banking financial controls.
Experience working in startup or high-growth environments is an advantage.
Skills:
Treasury Management
Financial Control & Accounting
Liquidity & Cash Flow Management
Fixed Deposit & Liability Management
Financial Reporting & Analysis
Regulatory Reporting
Budgeting & Forecasting
Asset & Liability Management
Financial Risk Management
IFRS & Regulatory Compliance
Financial Modeling & Analysis
Attention to Detail & Analytical Thinking
Leadership & Process Development
Strong Excel & Financial Systems Proficiency
Other Requirements:
Strong commercial and business acumen.
High level of integrity and accountability.
Ability to work independently and make sound financial decisions.
Strong problem-solving and execution capabilities.
Excellent reporting, presentation, and communication skills.
Ability to thrive in a fast-paced startup environment.
Must be proactive, structured, and capable of providing strategic direction from inception.
Strong leadership capability with the mindset to build scalable systems and teams from the ground up.
Remuneration
Salary: N300,000 - N500,000 / Month.
Performance-based incentives linked to performance.
Application Closing Date
27th May, 2026.
How to Apply
Interested and qualified candidates should send their CV to: info.veridionadvisorypartners@gmail.com using “Senior Treasury & Financial Control Officer” as the subject of the email.