Head, Treasury (Investment & Deposit Mobilization) at Jubilee Life Mortgage Bank Plc

Lagos

Jubilee Life

Company Info

Mid sized business

Jubilee Life Mortgage Bank Plc is a leading primary mortgage Bank in Nigeria. It was incorporated in August 1992 as a private limited Liability Company. Since its inception, Jubilee-Life Mortgage Bank Plc has evolved into a mortgage Bank with a global outlook whose activities have extended beyond the shores of Nigeria. The Bank has attained significant growth.

1 to 50 Employees

Jubilee Life Mortgage Bank Plc is a leading primary mortgage Bank in Nigeria. It was incorporated in August 1992 as a private limited Liability Company. Since its inception, Jubilee-Life Mortgage Bank Plc has evolved into a mortgage Bank with a global outlook whose activities have extended beyond the shores of Nigeria. The Bank has attained significant growth.

Title: Head, Treasury (Investment & Deposit Mobilization)

Location: Lagos

Job type: Full-Time

Responsibilities
Finance:

  • Monitoring and managing the bank’s liquidity.
  • Generate, lead, and mobilize significant deposits across liquidity matrix.
  • Analyzing various scenarios and risks and reporting to Executive Director, BDD/Treasury.
  • Forecasting of medium and long- term funding and hedging requirements.
  • Daily cash management.
  • Debt facilities management.
  • Drive profitability of the unit, monitoring income generated through trading, Fees etc.
  • Oversee the management of bank’s Investment Funds.

Relationship/ Stakeholder Management:

  • Evaluating and reviewing opportunities in equity market and recommending appropriate opportunity to the management
  • Review and support branches and units in identifying deposits opportunities and Cross selling of services across the bank.
  • Preparation of Board and monthly ALCO report for management review.
  • Preparation of weekly gap analysis for planning and decision making.
  • Review and prepare MIS reports related to treasury and investments required by the management.
  • Supporting the month-end process where necessary.
  • Liaising with senior management across the organization.
  • Maintain relationships with the bank’s corporate customers.
  • Authorize other groups, units and branches on acceptable deposit and foreign exchange rates.

Process Management:

  • Interest rate risk management and development of risk mitigation strategies.
  • Develop a policy & procedure manual for treasury & investments operations with adequate controls incorporated.
  • Implement measures for enhancing the processes relating to client profitability tracking, FX trading systems etc.

Business Development:

  • Submit proposals to the Management on launch of new Investment Funds and treasury Products & Services.

Qualifications, Competency & Skills Required

  • Minimum of First Degree in a relevant discipline preferably in Finance/ Investments/Banking.
  • Master’s Degree would be an added advantage.
  • Relevant professional certifications and/or a second degree.
  • Minimum of 10 years’ experience managing a Treasury Function.
  • Sound understanding of accounting principles.

Competency:

  • Knowledge of mortgage bank’s structure policies, processes and procedures.
  • Knowledge of the banking industry.
  • Asset and liability management.
  • Cash management.
  • Financial markets analysis.
  • Investment management.
  • Knowledge of derivatives trading.
  • Knowledge of treasury operations.
  • Knowledge of financial markets.
  • Knowledge of foreign exchange market and operations.
  • Money market trading.

Application Closing Date
Not Specified.

How to Apply
Interested and qualified candidates should:
Click here to apply online