Senior Manager, Treasury Operations And Support at MTN Nigeria

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Job Title: Senior Manager, Treasury Operations And Support

Job Description:

To Preserve Shareholder Value Through Effective And Efficient Running Of The Treasury Back Office & Support And Position Treasury At The Heart Of Strategic Business Units Of The Company
• Extract Value From What We Already Have Through Divisional Focused Commercial Activities Such As: Divisional Business Optimisation Projects, Contracts Review And Negotiation, Capital/Budget Efficiency Activities Within Division, Etc.
• Innovation – Identifying And Taking Advantage Of New Business Opportunities, E.G., Through Stimulating New Business Opportunities, Divisional Products Launched, Division Product/Process Innovation, Structural Changes Within Division, Etc.

• Maintain Leadership In The ICT/Digital Industry By Influencing State/Local Legislations & Policies, Participating In Local Level Industry Think-Tanks, Building & Extending National B-2-B And Similar Relationships, Etc.
• Enhance/Expand MTN’s Role In The Larger National And Ecosystem Through Participation As A Thought Leader, Executing Local CSR Projects, Involvement In Local Industry Non-ICT Policy & Think-Tank Activities Etc.
• Divisional People Leadership Activities: Coaching, Staff Development And Motivation Through Intra Staff Coaching, Employee Networks Mentorship/Support, Own Division Employee Engagement Projects, Faculty Roles, Inter/Intra Talent Mentorship, Etc.
• Generic Activities Necessary For Positive Business Outcomes Such As: Supporting Recruitment, Thought Leadership As Internal (Interview/Disciplinary) Panel Member, Influencing Next Level Leaders (E.G., At BPR) Etc.
• Drive Processes To Ensure Accounting Of All Treasury Transactions On ERP And Ensure Completeness And Accuracy Of Ledger Entries On The ERP Dashboard.
• Drive Consistent Application Of MTN Credit Policy, Collections And Bad Debts Write Offs Across All Revenue Channels And Ensure Alignment With Board Approvals,
• Evaluate, Develop And Implement Cash Management Systems To Optimize Efficiencies And Continually Explore Opportunities To Maximize Funds And Working Capital
• Ensure Timely And Accurate Production And Analysis Of Monthly Liquidity Measurements, Liquidity Transfer Pricing Charges And Cash Position And Advise Management On The Liquidity Aspects Of Its Short- And Long-Range Planning
• Maintain In-Depth Understanding Of Industry Trends Relative To Treasury Risk And Loss Avoidance.
• Support The GM Treasury In Articulating A Clear And Compelling Vision And Translate Strategy Into A Roadmap For Success For Treasury Operations, Insurance And Credit Management
• Manage The Value Chain That Supports The Settlements Of Third Party Obligations
• Coordinate The Administration Of MTNN’s Insurance Policies And Advise Management Accordingly
• Ensure Compliance With All Exchange Control Processes, Monetary Processes And International Trade Policies
• Establish Appropriate Treasury Operations And Credit Management Policies And Procedures And Ensure Continuous Review And Update Of The Unit’s PPPs As Changing Conditions Warrant And The Business Grows
• Ensure Timely Preparation Of Board Papers
• Develop Short/Medium Term Strategy For The Treasury Operations, Credit And Insurance Functions In MTNN

Job Condition: 

General Working Conditions

Experience & Training

• A First Degree In A Finance, Banking  Or Accounting Related Discipline
• A Professional Accounting, Credit And Insurance  Qualification
• Advanced Degree (MBA) Or ACCA, CIMA, IRM
• Fluent In English And Language Of Country Preferable
10 Years’ Work Experience Which Includes The Following:
• Manager Track Record Of 3 Years Or More; With At Least 3 Years In Relevant Sector/ Industry
• Worked Across Diverse Cultures And Geographies Advantageous
• Understanding Of Risk Management Practices, Financial Market Instruments And Regulatory Requirements In A Commercial Bank/ Multinational Telecoms Company  And Insurance Company
• Treasury Operations And Insurable Risk Management
• Knowledge In Back Office Support For A Corporate Treasury
• Knowledge About Credit Management And Administration
• Extensive Experience In Liquidity Management And Accounts Payable Settlement
• Knowledge Of Investment Portfolio Strategy, Banking, And Financial Instruments.
• General Knowledge Of GAAP And SEC Reporting Requirements For Investments And Other Financial Instruments.
• Treasury, Financial Controls And Management
• Financial Markets And Investment Grade Instruments
• Foreign Exchange, Swaps, Derivatives And Options
• Banking Operations And Trade Financing
• Conversant With Up To Date Treasury Products, Policies And Accounting Rules
• Understanding Of IFRS And Sarbanes Oxley Act, King 3
• Basel III Regulations And Provisions

Minimum Qualification:
BA, B.Sc, B.Tech, B.Ed Or HND

Employment Status:
Permanent

Application deadline: October 11th,2016

Apply Here