9 Sep 2026

Treasury and Investment Manager at Fadac Resources and Services Limited

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Fadac Resources and Services is a Consulting firm that provides businesses with human capital solutions that can help improve oral performance while reducing employment practice risk. They also help organizations no matter how large or small to establish, outsource and troubleshoot any human resources functions/challenges

We are recruiting to fill the position below:

Job Title: Treasury and Investment Manager

Location: Lagos
Employment Type: Full-time

Job Summary

  • The Treasury and Investment Manager will play a key role in the Company’s treasury, liquidity, banking, and investment-management activities, ensuring the business has the funding, controls, and financial insight required to support growth.
  • The successful candidate will be responsible for day-to-day cash and liquidity management, banking relationships, working-capital optimization, investment evaluation, and support for the Company’s wider capital-allocation agenda.

Duties and Responsibilities
Treasury and liquidity management:

  • Manage daily cash positioning, cash-flow forecasting, liquidity planning, and working-capital requirements for operational and strategic needs.
  • Develop and maintain short-, medium- and long-term cash-flow forecasts. • Identify opportunities to improve cash conversion, reduce idle cash, and optimize the use of available funds.
  • Manage relationships with banks, financial institutions, investors, and other funding partners.
  • Support debt-raising, refinancing, working-capital facilities, guarantees, and other funding arrangements.
  • Prepare information required for lender engagements, credit reviews, facility renewals, and financial due diligence.
  • Monitor compliance with financing terms, covenants, repayment obligations, and related reporting requirements.
  • Support fundraising initiatives and evaluate appropriate funding options for the Company’s growth plans.

Corporate Finance Support:

  • Support corporate finance activities, including business planning, fundraising, financial modelling, valuation, due diligence, and transaction support.
  • Partner with leadership to assess financial implications, risks, and expected returns for key business decisions.

Financial Planning and Insights:

  • Support budgeting, forecasting, and long-range financial planning processes, particularly as they relate to cash, funding, investments, and strategic projects.
  • Analyze financial performance, variances, market trends, and operational drivers, translating findings into practical management insight.
  • Work closely with other functions to ensure forecasts are accurate, timely, and aligned with business plans.
  • Contribute to the development of relevant management dashboards and financial reporting tools.

Qualifications Required

  • Bachelor’s Degree in Finance, Accounting, Economics, Business Administration, or a related discipline. ICAN/ACCA is required
  • CFA, MBA will be an advantage.
  • At least 6–8 years’ relevant experience across treasury, corporate finance, investment analysis, financial planning and analysis, banking, investment banking, or consulting.
  • Strong understanding of and exposure to ERP platforms, including Microsoft Dynamics, will be an advantage.

Application Closing Date
28th September, 2026.




Method of Application

Interested and qualified candidates should send their CV to: 

[email protected] 

using the Job Title as the subject of the email.



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