Descriptions
Summary
**Treasury, Cash Management, Funding Manager at AXIAN**
**Overview**
• We are looking to hire a Treasury, Cash management and Funding Manager who will be dealing with cash flow forecastings, reconciliation of collections and organization of new financing and Ensure timely accurate MIS reportings.
**Key Responsibilities**
• Cashflow and liquidity management.
• Bank reconciliation and relationship management
• Debt and financing management – administering loan facilities and debt obligation
• Treasury risk management, reporting & analysis.
• Treasury compliance, & Regulatory management i.e. BOT and foreign Xchange regulations.
• Operational treasury activities and stake holder coordination
**Requirements**
• Bachelor Degree in Banking & Finance, Accounting, Economics, Business Administration and/ or a related field.
• Must be a holder of a CPA (T) or an equivalent qualification i.e. ACCA, CFA, CTP.
• Minimum of 5 years Of experience in Treasury management, Corporate Finance, Telecom/ Infrastructure Finance, or a related field.
• Strong understanding of tax laws and accounting principles.
**Benefits**
• Female candidates are encouraged to apply.
• Countries: MADAGASCAR – UGANDA – TANZANIA – DRC
**Deadline**
• 10 June
**Job Type**
• Full-time
How to apply
Use the application link below to open the official application form.