Job Summary
To lead the company’s treasury and corporate finance function, ensuring optimal liquidity, cost-efficient funding, and robust financial risk management.
Key Responsibilities
Cash & Liquidity Management: Lead enterprise-wide cash management across HQ, depots, and retail operations; develop rolling 13-week cash flow forecasts.
Funding & Corporate Finance: Structure and negotiate debt facilities (Overdrafts, Term Loans, and Trade Finance/LCs > USD 50M) and manage the debt portfolio lifecycle.
Risk Management: Identify and hedge foreign exchange (USD), interest rate, and commodity price exposures using derivatives.
Relationship Management: Act as the primary interface with commercial banks, investment banks, and regulators like the CBN.
Key Requirements
Education: Bachelor’s Degree in Finance, Accounting, or Economics; MBA/MSc Finance is an advantage.
Certification: ACA, ACCA, CFA, or ACT (UK) strongly preferred.
Experience: 8–12 years in treasury/corporate finance, with at least 4–5 years in a senior leadership role.
Technical Skills: Advanced financial modelling, ERP/TMS (e.g., Microsoft Dynamics, SAP, Oracle), and deep knowledge of trade finance instruments.
go to method of application
Interested and qualified candidates should forward their CV to: careers@stockgapfuels.com using the Job Title as the subject of the email.
Qualifications
BA/BSc/HND , MBA/MSc/MA , Professional Certificate
Experience Required
8 - 12 years