Hiring Organization: Concept Group

Job Objective

The treasury officer position is responsible for corporate liquidity, investments, and risk management related to the company’s financial activities.

Responsibilities

Source for deposit liabilities from individuals and corporate bodies, through the sale of specially designed investment products.
To continually generate a viable pipeline of prospects/potential clients within the desired target market that will ensure the achievement of the set personal and departmental targets
To maintain high satisfaction levels when managing Prospects and Clients through the prompt booking of transactions
Produce reports of daily and weekly activities.
Conduct surveys and provide feedback of rates of other financial institutions
Contribute to the development of new products and/or better marketing ideas.
Provides recommendation to enhance treasury policies and procedures
Liaises regularly with treasury management and divisions in order to understand ongoing changes in business activities and developments
Provides the Treasury Manager with adequate information to carry out his/her responsibilities
Undertakes other related tasks and duties as assigned by Treasury Manager.

Required Skills & Qualifications

Experience in IT systems for automation and management of Treasury operations.
Advanced Excel/MS Office skills.
Strong analytical skills.
Strong organizational skills.
Strong interpersonal skills.
High proficiency in the English Language (both written and spoken).
The candidate must reside in the above-mentioned locations.
Bachelor’s Degree qualification.
3 – 5 years Experience.

How to Apply

Interested and qualified candidates should send their CV to: [email protected] using the Job Title as subject of the email.

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