Full-time
NGN N150,000 - N250,000
Lagos
30 Sep 2026
Accounting and Finance

Job Summary

  • We're looking for a Treasury Manager to help manage Anchor's liquidity, cash positions, banking relationships, and day-to-day treasury operations across our growing financial infrastructure.
  • This is a hands-on role for someone who understands liquidity management, cash forecasting, reconciliation, settlements, and financial controls, and can operate effectively in a fast-moving fintech environment.
  • You'll work closely with Finance, Operations, Banking Partners, Compliance, and Product/Engineering teams to ensure Anchor has the right liquidity in the right places, payments and settlements are executed efficiently, and treasury risks are actively managed.


Work Mode: Hybrid 


Responsibilities

  • Monitor Anchor's daily cash and liquidity positions across bank accounts, currencies, and financial partners.
  • Manage daily funding, settlements, transfers, and liquidity requirements across our banking and payment infrastructure.
  • Build and maintain cash flow forecasts and identify potential liquidity gaps or funding requirements.
  • Manage relationships and operational processes with banks, payment processors, and other financial partners.
  • Monitor settlement cycles, balances, transaction flows, and exceptions across accounts and partners.
  • Drive accurate and timely reconciliation of treasury accounts and investigate discrepancies.
  • Establish and maintain treasury controls, processes, and reporting to reduce operational and financial risk.
  • Support FX and multi-currency liquidity management, including monitoring exposures and funding requirements.
  • Work closely with Finance and Operations to improve cash management, settlement efficiency, and working capital.
  • Develop treasury reporting and dashboards that provide clear visibility into liquidity, balances, settlements, and exposures.
  • Identify operational risks and improve treasury processes through automation, controls, and better systems.
  • Support the development of treasury policies, procedures, and risk management frameworks as Anchor scales.


Requirements

  • 3 – 6 years of experience in treasury, banking operations, financial operations, payments, or a similar role.
  • Strong understanding of cash management, liquidity, settlements, and reconciliation.
  • Experience managing multiple bank accounts, financial institutions, payment partners, or currencies.
  • Strong understanding of cash flow forecasting and liquidity planning.
  • Experience working with payment flows, settlement processes, and transaction operations.
  • Strong analytical skills and excellent attention to detail.
  • Strong Excel / Google Sheets skills and comfort working with financial data and reporting.
  • Ability to identify discrepancies, investigate root causes, and resolve issues quickly.
  • Strong understanding of financial controls, operational risk, and treasury processes.
  • Excellent communication and stakeholder management skills.
  • Strong ownership and ability to operate independently in a fast-paced environment.


Bonus:

  • Experience in fintech, payments, banking, FX, cross-border transactions, or multi-currency financial infrastructure.



Salary

Open.