Dangote Industries Limited Accounting Jobs in Tema
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Job Summary
- Manage DCP's liquidity and cash flow ensuring business needs are met in a cost effective and prudent manner
- Manage and oversee funds requests, transfers and payment processing and relationship management
Key Duties And Responsibilities
- Establish and implement processes and frameworks for managing DCP's liquidity and risk in line with Group Treasury policies
- Develop and implement strategies to meet DCP's short, medium and long term financing needs ensuring alignment with the DCP's goals and objectives and the Group's strategy
- Manage the DCP's daily cash flows/ liquidity and ensure availability of funds to meet the company's operations and all likely contingencies
- Prepare cash forecasts and manage cash flows/cycles ensuring availability of adequate funds to meet DCP's daily operational requirements
- Identify the need and request for funds from Group Treasury as required
- Recommend strategies for raising necessary funds to facilitate the realisation of DCP's operational and corporate objectives
- Oversee the transfer of funds between DCP and the Group in liaison with Group Treasury
- Validate all supplier and vendor payments and ensure that all requests for payment are supported with valid invoices/ receipts and other supporting documents in line with DCP's financial policies
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Benefits
- Private Health Insurance
- Paid time off
- Training and Development
- Annual bonus
- 13th month cheque
- Provident Fund
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1. Patiently scroll down and read the job description below.
2. Scroll down and find how to apply or mode of application for this job after the job description.
3. Carefully follow the instructions on how to apply.
4. Always apply for a job by attaching CV with a Cover Letter / Application Letter.
-->
Job Summary
- Manage DCP's liquidity and cash flow ensuring business needs are met in a cost effective and prudent manner
- Manage and oversee funds requests, transfers and payment processing and relationship management
Key Duties And Responsibilities
- Establish and implement processes and frameworks for managing DCP's liquidity and risk in line with Group Treasury policies
- Develop and implement strategies to meet DCP's short, medium and long term financing needs ensuring alignment with the DCP's goals and objectives and the Group's strategy
- Manage the DCP's daily cash flows/ liquidity and ensure availability of funds to meet the company's operations and all likely contingencies
- Prepare cash forecasts and manage cash flows/cycles ensuring availability of adequate funds to meet DCP's daily operational requirements
- Identify the need and request for funds from Group Treasury as required
- Recommend strategies for raising necessary funds to facilitate the realisation of DCP's operational and corporate objectives
- Oversee the transfer of funds between DCP and the Group in liaison with Group Treasury
- Validate all supplier and vendor payments and ensure that all requests for payment are supported with valid invoices/ receipts and other supporting documents in line with DCP's financial policies
ADVERTISEMENT - CONTINUE READING BELOW
-->
Benefits
- Private Health Insurance
- Paid time off
- Training and Development
- Annual bonus
- 13th month cheque
- Provident Fund
ADVERTISEMENT - CONTINUE BELOW TO APPLY
-->