Treasury Corner Job at ARCO Group PLC, Lagos – Apply Now

ARCO Group PLCLagosFull-time

Job Description

The Treasury Corner will support group cash management, funding, and financial risk management activities, including cash flow forecasting, bank relationship management, loan administration, treasury reporting, and FX transaction support.

  • · Job Location: Lagos
  • · Employment Type: Full-Time (NYSC internship or recent graduate role)
  • · Salary: Not stated

About the Company

ARCO Group Nigeria is a dynamic conglomerate with interests across various sectors. The company is committed to developing young talent and providing opportunities for recent graduates to gain hands-on experience in corporate finance and treasury operations.

Key Responsibilities

  • · Monitor daily cash positions and assist with cash flow forecasting.
  • · Support bank relationship management and documentation.
  • · Assist in loan drawdowns, repayments, and interest calculations.
  • · Prepare treasury reports on liquidity, debt, and funding positions.
  • · Support investment analysis and evaluation of short-term instruments.
  • · Assist with FX transactions, reconciliations, and exposure tracking.
  • · Ensure compliance with internal treasury policies and procedures.
  • · Support ad-hoc financial and treasury-related analysis.

Required Skills

  • · Bachelor’s degree in Accounting, Finance, Economics, or a related field.
  • · Currently serving (NYSC) or a recent graduate looking for internship experience.
  • · Basic understanding of treasury, cash management, and financial instruments.
  • · Strong Excel skills and numerical aptitude.
  • · High attention to detail and good communication skills.
  • · Professional certifications (ICAN, ACCA, CIS, CFA, or in view) are an advantage.

How to Apply:

Interested and qualified applicants should send their CVs to whr@arcogroup-nigeria.com with the subject line: "NYSC Corner – Treasury Team".

Why this job might be a good fit:

This role is suitable for a current NYSC member or recent graduate in Accounting, Finance, or Economics who has strong Excel skills and an interest in corporate treasury, cash management, and financial risk analysis within a established conglomerate.