Treasury Lead
Job summary
You will run the core financial “engine” behind the Organisation in Nigeria. This is a hands-on, high-ownership role with direct responsibility for pricing/spread decisions and execution across multiple corridors.Location: Lagos preferred; Nigeria-wide acceptable (some Lagos travel expected)
Job descriptions & requirements
Responsibilities:
Own liquidity and treasury operations (daily):
- Maintain sufficient liquidity across NGN and foreign currency rails to support customer flows.
- Plan and execute rebalancing/prefunding across wallets, accounts, and partner routes.
- Build a repeatable daily cadence: positions, inflows/outflows, settlements, exceptions.
Execute and manage counterparties (Banking, OTC, IMTO, BDC):
- Source and manage liquidity via banks, OTC desks, IMTOs, BDCs, and, most importantly, stablecoin providers.
- Negotiate terms: spreads, fees, limits, settlement SLAs, dispute handling, and escalation paths.
- Build redundancy so no single counterparty can take the business down.
- Handle high-touch accounts and large tickets: quoting, execution coordination, and settlement updates.
Controls, reconciliation, and treasury reporting:
- Own reconciliation across partner statements, internal ledgers, wallets, and bank movements.
- Create lightweight but real controls: approvals, limits, audit trails, and exception workflows.
- Produce weekly reporting to the CEO: balances, exposures, P&L from spreads, counterparty scorecards, incident logs.
Build systems and automation (AI-first ops):
- Use AI to accelerate reconciliation, monitoring, exception triage, documentation, and analysis.
- Design dashboards/playbooks so the function scales without chaos.
- Work closely with Engineering/Product to automate money movement and reduce manual steps.
Requirements:
- 5+ years in treasury/FX/liquidity operations in Nigeria (bank, fintech, payments, OTC, IMTO, or equivalent).
- Strong real-world understanding of Nigerian banking flows and FX execution (including constraints and failure modes).
- Comfort managing business accounts and high-touch customers (SMEs/HNIs), including large tickets.
- Proven operational rigor: reconciliation, controls, exception handling, and settlement management.
- High agency: you proactively build systems, not just run tasks.
Traits we care about:
- Self-starting, hardworking, and intellectually curious.
- Calm under pressure; systematic in messy markets.
- AI-first operator (you use AI to drive throughput and precision).
- Strong ethics and good judgment (you’ll be trusted with sensitive execution and pricing decisions).
Bonus:
- Experience routing across multiple liquidity sources (banks + OTC + IMTO/BDC) and optimizing for fill rate and price.
- Familiarity with stablecoins/crypto as rails (USDC/USDT), on/off-ramps, or exchange/OTC operations.
- Experience standing up treasury operations in early-stage (process + dashboards + controls from scratch).
Compensation: Very competitive salary (early role, high ownership, equity).
Job Type: Full-time
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