Account Receivable and Treasury Officer
VURIN Group
Job Overview
Location
Lagos, Lagos, Nigeria
Employment Type
Full-time
Work Arrangement
On-site
Sector
Finance & Banking
Experience Level
Mid-level (3-5 years)
Application Deadline
May 29, 2026
About the Company
Job Description
VURIN Group is expanding its finance team and is seeking a dedicated Account Receivable and Treasury Officer to join our operations.
This role is crucial for managing our financial inflows and ensuring the efficient handling of treasury functions. You will play a key part in maintaining the financial health and operational efficiency of the company.
We offer a supportive work environment and opportunities for professional growth within a forward-thinking organization.
To apply for this role, click the Apply button on this page and follow the instructions.
Required Skills
Key Responsibilities
- Manage and oversee all aspects of accounts receivable, including invoicing, collections, and cash application.
- Develop and implement strategies to optimize the accounts receivable process and minimize outstanding balances.
- Handle treasury operations, including cash management, bank reconciliations, and liquidity forecasting.
- Prepare financial reports related to accounts receivable and treasury activities.
- Ensure compliance with financial policies and procedures.
- Collaborate with other departments to resolve discrepancies and ensure accurate financial records.
Qualifications
- A Bachelor's Degree in Accounting, Finance, or a related field.
- ICAN, ACCA, or equivalent professional certification is preferred.
- Minimum of 3-5 years of experience in Account Receivable and Treasury roles.
- Extensive experience with ERP systems, reconciliations, and financial reporting.
How to Apply
To apply for this role, click the Apply button on this page and follow the instructions.
Join Our Communities
The Nigerian financial sector is experiencing robust growth, driven by technological advancements and increasing demand for specialized financial services. This role is pivotal in managing cash flow and ensuring financial stability for a growing organization. Key technical keywords include IFRS standards, ERP system integration, cash flow forecasting, bank reconciliation, and financial reporting. Your impact will directly influence the company's return on investment by optimizing treasury operations and enhancing financial accuracy, signaling a mid-level to senior contribution to organizational financial health.
Posted Date
May 15, 2026
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