Relocating to CANCOM HO, Lagos, Nigeria, the position is situated at the headquarters in Lagos.
Job Description: A highly skilled professional is sought to join our team, responsible for overseeing key operational tasks and ensuring seamless execution of projects. The ideal candidate will possess a Bachelor’s degree in a relevant field, along with a minimum of three years of hands-on experience in a related industry. Strong analytical abilities, exceptional organizational skills, and the capacity to manage multiple priorities under tight deadlines are essential. Duties include conducting detailed research, collaborating with cross-functional teams, developing strategic plans, and delivering measurable results. Proficiency in industry-standard software and tools, as well as excellent written and verbal communication skills, are required. The role demands adaptability, problem-solving acumen, and a commitment to continuous improvement to drive organizational success.
We seek a proactive Graduate from Engineer Trainee (GET) to support our SAP Finance team, with a specific focus on S/4HANA Cash Management and Treasury solutions. The successful candidate will receive structured mentorship to develop expertise in core business functions, including banking operations, liquidity management, and cash flow processes. Additionally, they will gain insight into the implementation and continuous improvement of these processes within the SAP S/4HANA framework.
Oversee core duties such as managing daily operations, coordinating team efforts, and ensuring alignment with organizational objectives. Implement strategies to enhance productivity, streamline workflows, and maintain high standards of performance. Facilitate cross-functional collaboration to achieve departmental and company-wide goals. Monitor key performance indicators, assess progress, and provide data-driven insights to drive continuous improvement.
Provide support for the deployment, setup, and ongoing maintenance of the SAP S/4HANA Cash Management modules.
Acquire practical experience in Cash Positioning, Liquidity Forecasting, Bank Account Management (BAM), and Bank Communication Management (BCM).
Facilitate business users’ day-to-day cash management activities, including bank reconciliations and liquidity analysis.
Engage in data validation, testing, and user training initiatives as part of system implementation or enhancement projects.
Collaborate effectively with Finance, Treasury, and IT teams to gather and document business requirements, subsequently translating them into precise functional specifications.
Acquire knowledge and provide support in the implementation of Fiore applications designed for Cash Management functions, such as Manage Bank Accounts, Cash Position, Liquidity Forecast, and Bank Statement Monitor.
We oversee the maintenance and administration of master data, including house banks, bank accounts, and business partners, ensuring seamless integration with related modules such as Financial Accounting (FI), Controlling (CO), and Treasury and Risk Management (TRM).
Conduct comprehensive system testing, including unit, integration, and user acceptance testing (UAT), while developing detailed test documentation to ensure thorough validation and compliance with requirements.
Support the development and maintenance of treasury dashboards through SAP Fiore and embedded analytics tools, contributing to reporting and analytics functions.
Proficient in problem-solving, analytical reasoning, and adaptive thinking, with a strong ability to leverage technical expertise and industry knowledge to drive innovative solutions. Demonstrated proficiency in communication, collaboration, and stakeholder engagement to foster productive relationships and achieve organizational objectives. Adept at time management, prioritization, and multitasking in fast-paced environments while maintaining a high level of accuracy and attention to detail. Capable of working independently or as part of a team, with a commitment to continuous learning and professional development.
A foundational grasp of finance, accounting, and treasury operations is required.
Proficiency in ERP systems is essential, with a preference for experience in SAP, though it is not a strict requirement.
Proficient in analytical reasoning, problem-solving, and the ability to produce clear, thorough documentation.
Demonstrates strong communication and interpersonal abilities to collaborate effectively with both business and IT teams.
Seeking individuals with a strong motivation to develop expertise in SAP S/4HANA Financials and Treasury solutions.
Proven capability to collaborate effectively in team settings while consistently meeting deadlines through disciplined time management and prioritization of tasks.
Qualifications include a Bachelor’s degree in Computer Science, Information Technology, or a related field, along with a minimum of three years of professional experience in software development or a comparable role. Proficiency in programming languages such as Python, Java, or C++ is required, along with familiarity with frameworks like Django, Spring Boot, or .NET. Strong problem-solving skills, excellent communication abilities, and the capacity to work collaboratively in a team environment are essential. Additional consideration will be given to candidates with experience in cloud computing platforms, DevOps practices, or cybersecurity certifications.
Bachelor’s or Master’s degree in Computer Science, Information Technology, Electronics Engineering, or a closely related discipline.
OR
Bachelor’s or Master’s degree in Commerce, Business Administration, or Finance, with a strong inclination toward IT-enabled financial operations.
Qualifications
BA/BSc/HND , MBA/MSc/MA