Treasury Officer
Confidential Employer
Job Overview
Location
Lekki Phase 1, Lagos, Lagos, Nigeria
Salary
NGN 450,000 monthly
Employment Type
Full-time
Work Arrangement
On-site
Sector
Energy & Utilities
Experience Level
Senior (5-8 years)
Job Description
We are seeking a highly experienced and dedicated Treasury Officer to join our team in Lekki Phase 1, Lagos. This full-time role is critical for managing the financial health of our operations within the Oil & Gas sector. You will be responsible for overseeing all aspects of treasury, ensuring optimal cash flow and robust banking relationships.
Your core responsibilities will include efficiently managing daily cash flow, executing comprehensive treasury operations, cultivating strong relationships with our banking partners, and ensuring timely and accurate processing of all statutory remittances. This position requires a professional with a mandatory minimum of 5 years of specialized treasury experience within the Oil & Gas industry, demonstrating a deep understanding of financial markets and regulatory compliance.
To apply, please send your CV to careers@sigmundgroup.com. Ensure the subject line of your email is: “Treasury Officer Application”.
Required Skills
Key Responsibilities
- Efficiently manage daily cash flow and liquidity.
- Oversee all treasury operations, ensuring accuracy and compliance.
- Cultivate and maintain strong relationships with banking partners.
- Ensure timely and accurate processing of all statutory remittances.
- Monitor financial markets and manage treasury-related risks.
- Prepare comprehensive treasury reports for management.
Qualifications
- Minimum of 5+ years of dedicated treasury experience, specifically within the Oil & Gas sector (mandatory).
- Strong understanding of cash management principles and treasury best practices.
- Proficiency in financial software and reporting tools (implied).
- Excellent analytical and communication skills (implied).
How to Apply
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As a Treasury Officer in the Oil & Gas sector, you will be critical in managing the company's financial liquidity and banking relationships. Your day-to-day involves overseeing cash flow, executing treasury operations, and ensuring all statutory remittances are handled promptly. This role is essential for maintaining financial stability, optimizing working capital, and supporting strategic financial decisions.
Posted Date
January 16, 2026
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