Treasury Manager at Mosra Energy Limited Nigeria (MEL)


Mosra Energy Limited Nigeria (MEL) is a well-established coal mining company with over 15 years experience in the industry. We are operating coal mines in Kogi and Delta States. In addition to our current operations, we have several other coal blocks under exploration in Nsukka/Udenu, Enugu State, Dekina LGA, Kogi State, and Ogbadibo LGA, Benue State.

We are recruiting to fill the position below:


Job Title: Treasury Manager

Location: Nigeria
Employment Type: Full-time
Reports to: Finance Director

Objectives

  • Lead the company's treasury function, driving cash flow management, liquidity optimization, and financial risk mitigation, while ensuring all financing arrangements and banking relationships align with the company's established ethical, governance, and compliance standards.
  • Strategic: Support company goals through sound financial planning, risk mitigation, and business insights
  • Operational: Handle day-to-day cash movements, investments, and financing transactions
  • Analytical: Use data to forecast, analyze, and improve financial performance, and identify opportunities for cost savings and process improvements
  • Leadership: Manage treasury teams, develop staff, and collaborate with cross-functional teams to drive business outcomes

.Key Responsibilities

  • Oversee daily cash management, forecasting, and liquidity planning to ensure optimal cash utilization and support business operations
  • Identify, measure, and mitigate financial risks, including interest rate, currency, and commodity price risks, to protect financial performance
  • Develop treasury policies, create cash flow forecasts, and provide financial insights to support business strategy and growth
  • Manage financial due diligence related to investments in sustainable and efficient operational technology to support long-term business resilience
  • Ensure adherence to internal controls, policies, and external regulations, and provide timely reporting to stakeholders.
  • Manage debt portfolio, financing arrangements, and short-term borrowing to optimize capital structure and support business growth
  • Foster strong relationships with banks and financial institutions to support business operations and growth

Qualifications

  • Bachelor’s in Finance/Accounting; professional certifications would be an advantage
  • 5+ years of treasury experience in a corporate environment
  • Strong knowledge of FX markets and hedging instruments
  • Experience with treasury management systems.

 

How to Apply
Interested and qualified candidates should send their CV to: [email protected] using the Job Title as the subject of the mail

Application Deadline 7th February, 2026.