Job Description
Job Summary
The Treasury/Investment Officer is responsible for ensuring competitive and maximum returns on the Company’s funds under management.
Key Responsibilities
- Execution of all Trust Funds/Institutional Client’s transactions regarding placements, rollovers, and liquidations in the Inter-bank Market by preparing instructions to transferring counterparty/receiving counterparty and uploading payments on the Bank payment platform.
- Negotiation of rates and terms to ensure maximum return on proprietary and client funds (e.g. sinking funds, management reserve accounts etc)
- Prompt execution and settlement of all securities Trades i.e. FGN Bonds, FGN TBills, and Euro-bonds via the Custodian.
- Timely recording of daily transactions i.e. Liquidations and investment, Securities purchase/sale, across all portfolios on the Maturities Blotter and posting of same on the portfolio management system.
- Preparation of necessary reports as it relates to inter-bank settlement i.e. FI Database and ensure same is sent to internal stakeholders daily.
- Daily call over of transactions initiated to ensure that all instructions initiated are executed.
- Reconciliation of all outstanding transactions and SEC/Custodian reports.
- Ensure retrieval of contract notes/letters from counterparties on all completed transactions and accuracy of the parameters contained therein are as agreed.
Requirements
- 5 +years of experience in Treasury and Investment management
- Strong communication and negotiations skills
- Good knowledge of Investment & Treasury structured product sales
- Bachelor’s Degree required; master’s degree added advantage
- Motivated, goal oriented with a proven and successful track record in revenue growth
- Able to build internal and external relationships as a trusted advisor.
- Strong aptitude for Sales, lead management and deal closure.
Method of Application
Interested and qualified? Go to Alan & Grant on alanandgrant.zohorecruit.com to apply
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