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Avis de recrutement d’un gestionnaire de trésorerie, Bamako, Mali

Avis de recrutement d’un gestionnaire de trésorerie, Bamako, Mali

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Categories : Avis de recrutement

Domaines : Banque - Assurance - FinanceComptabilité - Gestion - Audit - Gestion de projetsEconomie - Statistique - Démographie... Afficher plus

Regions : Mali

Avis de recrutement d’un gestionnaire de trésorerie, Bamako, Mali

 

 

 

We’re a multinational company launching a mobile money network in Mali.

How you’ll help us achieve it :

We’re looking for a Cash Manager who’s resourceful and excited about getting things done. You’ll be responsible for managing cash recovery from our agent network as we rapidly scale our business in Mali.

In this role, you’ll :

  • Seek to understand all our cash movements in Mali ;
  • Project cash requirements for our agent network using inbuilt tools by building a comprehensive forecasting system to enable proper cash distribution and collection.

Tasks include :

  • Fund withdrawal agents and premium adequately on a daily basis ;
  • Work with our partner banks to ensure that cash is available always 48 hours in advance for withdrawal areas ;
  • Design a liquidity forecasting system through analysis to define cash needed in each region based on past cash needed (cash out) and seasonality context ;
  • Coordinate the collection of cash to be deposited in the adequate bank accounts by agents or super agents for next day usage ;
  • Help supervise super agents (or CIT partnerships/logistics)/Premium agent officers and cash officers under your management and manage their day to day activities ;
  • Manage cash officers located in our premiums (Wave Offices) in regards to cash management ;
  • Ensure that our books are properly reconciled and closed on a daily basis ;
  • Maintain excellent relationships between the company and our partner banks ;
  • Prioritize the biggest problems blocking the unit’s performance and impact ;
  • Report to the Head of Treasury with strategies of how to ensure the company is efficient in its cash utilization.

Key details :

  • Location is based in Bamako ;
  • Work authorization in Mali required.

Requirements :

  • Proficient in French and English ;
  • At least 4 years’ relevant experience in treasury or operations ;
  • Bachelor’s Degree in a Finance or Management related course.

Preferable aptitudes and qualities :

  • Are intellectually curious, creative in the way you go about tackling problems, and embrace failure as a means to spark innovation and growth ;
  • Demonstrate tenacity and a willingness to go the distance to get something done ;
  • Are comfortable defaulting to over-communication and overreaching when it comes to urgent troubleshooting needs ;
  • Adjust quickly to changing priorities and conditions and cope effectively with complexity and change ;
  • Are analytical in your approach to problems (Very important!) ;
  • Are excessively detail oriented and seek to achieve excellence in everything you do ;
  • Have developed processes and designed forecasting models for treasury/cash flow operations purposes.

Bonus points if you :

  • Have a Master’s degree in Finance or Management related course ;
  • Have worked at a financial institution (bank, money transfer service or micro-finance) at a Managerial level.

Our team : We’re backed by world-class investors including Khosla Ventures, Founders Fund, Y Combinator, and the cofounders of PayPal.

How to apply :

Please send your resume and cover letter to this e-mail address: malihiring223@gmail.com