HEAD OF TREASURY

Posted 2 Days Ago
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Hiring Remotely in Ghana
Remote
Expert/Leader
Information Technology • Logistics • Financial Services
The Role
Lead the Group treasury function to manage liquidity, cash forecasting, funding strategy, debt portfolio, banking relationships, and financial risk (FX, interest rate, liquidity). Oversee daily treasury operations, controls, treasury systems integration, hedging strategies, and governance to support group-level financial objectives.
Summary Generated by Built In
Role Purpose

To lead and manage the Group’s treasury function, ensuring optimal liquidity, efficient cash flow management, funding strategy, and financial risk mitigation to support the Group’s operational and strategic objectives.

Reports To

Chief Finance Officer

Key Result Areas
  • Treasury Strategy & Liquidity Management
  • Cash Flow Planning & Optimization
  • Funding & Capital Structure Management
  • Financial Risk Management
  • Banking & Stakeholder Relations
  • Treasury Operations & Controls
  • Systems & Process Efficiency
Key Responsibilities
  • Develop and implement the Group’s treasury strategy aligned with overall financial objectives.


  • Oversee cash positioning and ensure efficient allocation of funds across the Group.
  • Lead the preparation and monitoring of short-, medium-, and long-term cash flow forecasts.


  • Monitor inflows and outflows to ensure adequate cash availability at all times.
  • Develop and execute funding strategies to support business growth and capital investments.
  • Manage relationships with banks and financial institutions to secure financing facilities.
  • Oversee loan portfolio management, including repayments, restructuring, and covenant compliance.
  • Identify and manage financial risks, including liquidity, interest rate, and foreign exchange risks.
  • Develop hedging strategies where applicable to mitigate exposure.
  • Ensure adherence to treasury policies and risk management frameworks.
  • Maintain and strengthen relationships with banks, investors, and other financial partners.
  • Negotiate banking terms, fees, and financing arrangements in the Group’s best interest.


  • Oversee daily treasury operations, including cash management, payments, and reconciliations.
  • Ensure strong internal controls, governance, and compliance within treasury activities.
  • Implement and enforce treasury policies, procedures, and approval frameworks.
  • Drive the implementation and optimization of treasury management systems.


  • Ensure effective integration of treasury systems with broader financial systems.
Job SpecificationEducation
  • Master’s degree in Finance, Accounting, Economics, or a related field.
  • Professional certification (ACCA, CIMA, CFA, CPA or equivalent) is required.
  • Minimum of 12–15 years’ relevant experience in treasury, banking, or financial management.
  • At least 7–10 years in a senior or leadership role, preferably within a group or multi-entity structure.
Required Competencies
  • Strong expertise in treasury management, cash flow forecasting, and liquidity planning
  • In-depth understanding of financial markets, banking operations, and funding structures
  • Proven experience in managing debt portfolios and financing arrangements
  • Strong knowledge of financial risk management (FX, interest rate, liquidity risks)
  • Excellent negotiation and stakeholder management skills
  • High level of analytical and financial modelling capability
  • Strong leadership and team management skills
  • Sound understanding of financial controls and corporate governance
  • Proficiency in treasury and financial management systems
  • Excellent communication and presentation skills
  • Ability to operate in a fast-paced, complex, multi-entity environment

Skills Required

  • Master's degree in Finance, Accounting, Economics, or related field
  • Professional certification (ACCA, CIMA, CFA, CPA or equivalent)
  • Minimum 12-15 years' relevant experience in treasury, banking, or financial management
  • At least 7-10 years in a senior or leadership role
  • Experience operating within a group or multi-entity structure
  • Strong expertise in treasury management, cash flow forecasting, and liquidity planning
  • Proven experience managing debt portfolios, repayments, restructuring, and covenant compliance
  • In-depth understanding of financial markets, banking operations, and funding structures
  • Strong knowledge of financial risk management, including FX, interest rate, and liquidity risks
  • High level of analytical ability and financial modelling capability
  • Proficiency in treasury and financial management systems and ability to integrate systems
  • Excellent negotiation, stakeholder management, communication and presentation skills
  • Strong leadership and team management skills; ability to operate in a fast-paced, complex environment
  • Sound understanding of internal controls, governance and compliance in treasury activities
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The Company
Year Founded: 1995

What We Do

The Jospong Group of Companies is a diversified holding company based in Ghana, operating over 60 subsidiaries across various sectors including waste management, ICT, banking, agriculture, and manufacturing, with a focus on delivering innovative solutions that support national development.

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