Submitting more applications increases your chances of landing a job.

Here’s how busy the average job seeker was last month:

Opportunities viewed

Applications submitted

Keep exploring and applying to maximize your chances!

Looking for employers with a proven track record of hiring women?

Click here to explore opportunities now!
We Value Your Feedback

You are invited to participate in a survey designed to help researchers understand how best to match workers to the types of jobs they are searching for

Would You Be Likely to Participate?

If selected, we will contact you via email with further instructions and details about your participation.

You will receive a $7 payout for answering the survey.


User unblocked successfully
https://bayt.page.link/iFyMUy5bh5qCGHLMA
Back to the job results
Other Business Support Services
Create a job alert for similar positions
Job alert turned off. You won’t receive updates for this search anymore.

Job description

About the job Treasury Manager

Job Title – Treasury Manager 
Location: Sierra Leone, Africa


About the Role

We are seeking a highly skilled and commercially astute Treasury Manager to oversee the organization's treasury operations, cash management, banking relationships, liquidity planning, and financial risk management. The role will be critical in ensuring efficient cash flow management, optimizing working capital, supporting business growth, and maintaining strong financial controls within a dynamic mining and precious metals environment.


Key Responsibilities Treasury & Cash Management
  • Manage daily treasury operations, including cash positioning, cash forecasting, and liquidity planning.
  • Monitor cash inflows and outflows to ensure adequate funding for operational and capital requirements.
  • Develop short-term and long-term cash flow forecasts to support business planning.
  • Optimize working capital and cash utilization across the organization.
Banking & Financial Relationships
  • Manage relationships with local and international banking partners.
  • Negotiate banking facilities, transaction services, and financing arrangements.
  • Monitor banking performance, fees, and service levels.
  • Ensure compliance with banking covenants and financing agreements.
Liquidity & Funding Management
  • Maintain adequate liquidity to support operational requirements and strategic initiatives.
  • Evaluate and recommend financing options to support business expansion and capital projects.
  • Coordinate debt management activities, including loan repayments and facility utilization.
  • Support capital raising and investment initiatives when required.
Foreign Exchange & Risk Management
  • Monitor foreign exchange exposure and recommend appropriate hedging strategies.
  • Identify and mitigate financial risks related to currency fluctuations, interest rates, and market conditions.
  • Develop treasury policies and procedures aligned with organizational objectives.
  • Ensure compliance with internal controls and risk management frameworks.
Financial Reporting & Compliance
  • Prepare treasury reports, cash flow analyses, and management dashboards.
  • Ensure accurate recording and reconciliation of treasury transactions.
  • Support month-end and year-end financial closing activities.
  • Maintain compliance with regulatory, tax, and statutory requirements.
Internal Controls & Governance
  • Establish and maintain robust treasury controls and approval processes.
  • Monitor adherence to treasury policies and financial governance standards.
  • Coordinate internal and external audits related to treasury functions.
  • Implement process improvements and automation initiatives to enhance efficiency and control.
Strategic Finance Support
  • Partner with finance, operations, procurement, and executive leadership teams on financial planning initiatives.
  • Provide treasury insights to support investment decisions and business growth strategies.
  • Assist with budgeting, forecasting, and financial modeling activities.
  • Support mergers, acquisitions, and project financing initiatives where applicable.
Qualifications & Experience
  • Bachelor's Degree in Finance, Accounting, Economics, Commerce, or a related discipline.
  • Professional qualification such as CA, ACCA, CPA, CFA, CTP, or equivalent is preferred.
  • 8–15 years of treasury, corporate finance, banking, or financial management experience.
  • Experience within mining, manufacturing, metals, commodities, infrastructure, or multinational organizations is highly desirable.
  • Strong understanding of cash management, banking operations, foreign exchange, and financial risk management.
Key Skills & Competencies
  • Treasury and cash flow management
  • Financial planning and analysis
  • Liquidity and working capital management
  • Banking and lender relationship management
  • Foreign exchange and risk management
  • Financial modeling and forecasting
  • Internal controls and compliance
  • ERP and treasury management systems
  • Leadership and stakeholder management
  • Strategic thinking and decision-making
What We Offer
  • Competitive international compensation package
  • Opportunity to work within a growing mining and precious metals business
  • Exposure to cross-border treasury and finance operations
  • Leadership role with strong career development prospects
  • Dynamic and multicultural work environment

Apply now!




This job post has been translated by AI and may contain minor differences or errors.
You’ve reached the maximum limit of 15 job alerts. To create a new alert, please delete an existing one first.
Job alert created for this search. You’ll receive updates when new jobs match.
Are you sure you want to unapply?

You'll no longer be considered for this role and your application will be removed from the employer's inbox.