Corporate Finance Manager
AI summary
VendorCredit is hiring a Corporate Finance Manager to lead corporate financial planning, treasury management, and liquidity strategy. The role involves managing bank relationships, optimizing cash flows, mitigating FX and interest rate risks, and supporting fundraising and deal origination. Candidates need 7–10 years of corporate finance or treasury experience and strong analytical and stakeholder management skills.
- Senior corporate finance and treasury management role
- Focus on liquidity, FX, and interest rate risk management
- Involves bank relationships and deal origination
- Requires 7–10 years of relevant experience
- CFA, ACA, ACCA or master's degree is an advantage
AI job guide
Use this guide to check salary signals, requirements, documents, application steps and safety before you apply.
AI salary guide
Not enough public dataNot enough public salary data is available for this exact role. Before applying, prepare to ask about gross pay, benefits, contract length, probation period, transport and any allowances.
Can you qualify for this role?
- Required7+ years of relevant experienceThe job post includes a minimum experience signal.
- RequiredEducation or certification mentioned in the postThe captured text mentions education, a diploma, certificate, or licence.
- PreferredPractical evidence in internship, finance, Finance ManagerThe tags and summary point to skills connected with this role.
- RequiredAvailability to work in Not specifiedThe vacancy is associated with this location.
Documents to prepare
- Likely requiredUpdated CV
- Role specificCover letter or short employer message
- OptionalProfessional references
- Role specificAcademic or professional certificates
- VerifyID or passport only after verifying the employer
Application tips for this job
- Place your strongest Corporate Finance Manager evidence in the first half of your CV.
- In your cover letter or employer message, connect your experience to VendorCredit and the role in Not specified.
- Add concrete examples related to internship, finance, Finance Manager, ideally with measurable outcomes or clear responsibilities.
- Follow the instructions from Jobzilla Nigeria; avoid sending documents to unofficial contacts or copied links.
- Confirm the deadline, interview location and employer contact before sharing personal documents.
- Prepare a polite question about pay, benefits and contract terms for later interview stages.
Source and safety check
- Jobzilla Nigeria
- Original source link available
- Application method is clear
- Deadline not specified
- No major risk signal was detected in the captured text.
Never pay for interviews, shortlisting, medical checks, uniforms, or job placement. Confirm every application at the original source before sharing personal documents. Report suspicious listing.
Interview preparation
- What experience makes you a strong fit for this Corporate Finance Manager role in internship, finance?
- How have you handled responsibilities similar to those in this job post?
- Are you available to work in Not specified under the listed contract or schedule?
- Prepare examples with clear responsibilities, tools used and measurable outcomes.
- Review the source and research VendorCredit before the interview.
Ask what the first priorities will be in the role and how success will be measured.
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Original source description
The Corporate Finance Manager will oversee corporate financial planning and treasury management functions, ensuring effective fund utilization, liquidity management, and risk mitigation. The role involves collaborating with financial partners, optimizing financial resources, and driving the company’s corporate finance strategy to support its growth objectives. A strong understanding of economics and its implications on financial decision-making is critical to this role. Bank and Partner Activities: Oversee bank and account operations, ensuring smooth financial transactions with partners. Assess and establish monthly cost of funds to align with business objectives. Evaluate and manage transaction costs with financial partners to optimize financial performance. Provide monthly rate guidance and investment advice. Update investment payout schedules and compute liquidity positions. Manage and maintain relationships with financial partners, including banks, finance houses, and cooperatives. Asset, Liability, and Liquidity Management: Plan and manage funds for disbursement and expense requirements: across financial institutions. Oversee liquidity, exposure, and leverage management in partnership with banks. Define performance benchmarks for margins, reserves, cash, collections, and liquidity in alignment with executive directives. Handle excess liquidity investments and risk mitigation strategies. Monitor FX liquidity exposure and set FX trigger points to mitigate currency devaluation risks. Develop collection schedules in collaboration with risk and portfolio management teams. Analyze economic trends and assess their impact on liquidity, funding, and investment strategies. Corporate Finance: Leverage economic insights to structure and negotiate financing options effectively. Prepare documentation to support deal origination and ensure regulatory compliance. Originate deals for fund-raising efforts, working with banks, finance houses, and cooperatives. Collaborate with the growth team on front-end deal origination when required. Treasury Management: Develop strategies to optimize cash flows and minimize financial risks. Analyze and report on FX risks, providing solutions to reduce exposure. Manage liquidity to ensure the organization has sufficient funds to meet its operational needs. Apply economic principles to forecast market trends and identify opportunities for financial optimization. Oversee interest rate risk and advise on appropriate mitigation strategies. Reporting and Compliance: Oversee financial reporting and bank reconciliation activities. Incorporate economic data in financial reporting to support strategic decision-making. Monitor and ensure compliance with established KPIs and financial parameters. Generate comprehensive reports and provide insights on mitigants for interest rate, liquidity, and FX risks. Prepare and deliver weekly financial reports to key stakeholders. Qualifications A master’s degree or professional certification (e.g., CFA, ACA, ACCA) is an advantage. Education: Bachelor’s Degree in Finance, Economics, Accounting, or a related field. Experience: 7–10 years of experience: in corporate finance, treasury management, or a related field, preferably within the banking or financial services sector. Skills: Proficiency in financial modeling and reporting tools. In-depth understanding of financial regulations and risk management practices. Strong analytical and problem-solving skills. Excellent relationship management and negotiation skills. A strong grasp of economic principles and their impact on financial markets and corporate finance activities. Key Competencies: Strategic thinker with a proactive approach to financial management. Demonstrates a solid understanding of economic factors influencing financial Exceptional communication skills to liaise with internal and external stakeholders. High attention to detail with the ability to multitask and prioritize. decision-making and market dynamics. How to Apply Interested and qualified candidates should: Click here to apply online Application Deadline: 31st October, 2026. View all Jobs in Nigeria Lagos State Corporate Finance Manager job vacancies in Nigeria