Treasury Manager – Cross-Border Transactions

November 26, 2024
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Job Description

Company: LinearServe Inc.

Location: Lagos, Nigeria (Hybrid, twice a week)
Salary Budget: N15m-20m gross annually

 

About Us:
Our client, LinearServe Inc. is a leading financial services company with a cross-border license in Canada. We specialize in managing multi-currency payment solutions and foreign exchange trading to support businesses in navigating the complexities of global transactions. We are seeking an experienced Treasury Manager with a strong background in cross-border transactions to join our dynamic team.

 

Key Responsibilities:

  • Oversee the management of treasury operations, ensuring optimal cash flow and fund availability in receiving countries.
  • Execute foreign exchange (FX) trading strategies, monitor market trends, and manage currency exposure to support the company’s financial objectives.
  • Develop and maintain a robust network of banks and fund managers to facilitate short-term borrowing and liquidity management.
  • Ensure balanced fund allocation across accounts, avoiding excess or deficits in specific currencies or locations.
  • Manage multi-currency payment processing and reconciliation with accuracy and efficiency.
  • Stay updated on and ensure compliance with relevant regulations, including AML/KYC and OFAC guidelines.
  • Conduct financial analysis and provide actionable insights to improve investment strategies and trading performance.

Why Join LinearServe Inc.?

  • Be part of a pioneering team driving innovation in cross-border financial solutions.
  • Work in a collaborative environment that values expertise and growth.
  • Enjoy competitive compensation and benefits tailored to industry standards.

Requirements

Qualifications:

  • Minimum of 5 years of experience in treasury management, FX trading, or payment operations with exposure to accounts payable and receivable functions.
  • Strong understanding of foreign exchange markets, including rate trends and customer behavior in relation to financial products.
  • Proven skills in trading and investment management, with the ability to optimize fund allocation and minimize risk.
  • Established relationships with banking institutions and fund managers for efficient short-notice borrowing.
  • Excellent analytical, problem-solving, and communication skills.
  • Ability to perform in a fast-paced environment and meet tight deadlines.
  • Familiarity with relevant financial regulations such as AML, KYC, and OFAC.

Benefits

Statutory benefits
Hybrid work
Interested and qualified candidates should apply here: https://bit.ly/TLTreasuryManager