Expires 1 month from now
Corporate Finance & Treasury Manager
Corporate Finance
full-time
| Senior Manager
Victoria Island,
Lagos
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Job Summary
The Manager, Treasury & Corporate Finance is responsible for leading the Company's corporate finance agenda — sourcing and structuring debt financing, supporting equity and capital-raising initiatives, and shaping capital allocation and financial strategy — while providing strategic oversight of the treasury function, including liquidity, FX exposure, banking relationships, and treasury controls. The role is a trusted advisor to the Director, Finance / CFO on funding strategy and capital structure, and ensures the Company has the capital, liquidity, and financial discipline to support its growth in a capital-intensive infrastructure business.
Job Details
KEY ROLES & RESPONSIBILITIES (Duties)
Debt Financing & Capital Structure
- Lead the sourcing, structuring, negotiation, and execution of debt facilities — term loans, working capital lines, bonds, and DFI/development finance funding — with local and international lenders.
- Manage ongoing lender relationships, covenant compliance, drawdown requests, and financial reporting obligations under existing facilities.
- Evaluate capital structure alternatives and recommend the optimal mix of debt and equity to fund capital expenditure and growth plans.
Equity & Capital Raising
- Support equity raising and capital-raising processes end-to-end, including investor targeting, due diligence coordination, data room management, and term sheet/SPA review alongside legal and advisory teams.
- Build and maintain relationships with investment banks, private equity/venture capital investors, DFIs, and financial advisors on live and prospective fundraising initiatives.
- Prepare investment memoranda, financial models, valuation analyses, and management presentations for investor and lender engagements.
Financial Strategy, Planning & Analysis
- Develop and maintain the Company's medium- to long-term financial strategy and capital allocation plan in line with business growth objectives.
- Build and maintain robust financial models (DCF, scenario and sensitivity analysis, financing structures) to support funding and investment decisions.
- Support evaluation of M&A opportunities, joint ventures, and strategic partnerships from a financial structuring and funding perspective.
Stakeholder, Board & Investor Reporting
- Prepare board papers, financing proposals, and investor/lender updates on funding status, capital structure, and financial strategy.
- Represent the Finance function in engagements with lenders, rating agencies, investors, and other external capital providers.
Treasury Oversight (Strategic)
- Provide strategic oversight of foreign exchange exposure management, ensuring FX sourcing and hedging decisions align with CBN regulations and the Company's risk appetite.
- Oversee preparation of the 13-week rolling cash flow forecast and guide funding decisions across all the entities.
- Own the banking relationship strategy — facility terms.
- Perform any other duties as may be assigned by the line manager.
Requirements
ACADEMIC QUALIFICATIONS (Minimum) & SKILLS
- HND/B.Sc. in Finance, Accounting, Economics, or a related discipline; MBA or MSc in Finance is an added advantage.
- Professional qualification (ACA, ACCA, CIMA, CPA, CFA, or equivalent) is strongly required.
- Minimum of 5-10 years' progressive experience in corporate finance and/or treasury, with a demonstrable track record of structuring and closing debt facilities and/or leading equity or capital-raising processes.
- Experience in telecoms infrastructure or another capital-intensive sector is a strong advantage.
- Strong financial modelling and valuation skills (DCF, LBO/financing structures, scenario and sensitivity analysis).
- Demonstrable experience engaging DFIs, banks, private equity/venture capital investors, and advisors on funding transactions.
- Working knowledge of treasury operations — FX management, cash/liquidity forecasting, bank reconciliation — sufficient to provide oversight and review, even where day-to-day execution is delegated.
- Sound judgement in evaluating funding options and prioritizing capital allocation under liquidity constraints, with the confidence to defend recommendations to senior leadership and the Board.
- Strong negotiation and relationship management skills with banks, investors, and financial institutions.
- Proven people leadership — an excellent team player.
- High integrity and discretion in handling sensitive financial information, funding transactions, and investor relationships.
- Ability to work to tight deadlines across financing transactions and month-end/payment cycles with minimal supervision.
About Company
Pan African Towers Limited
Pan-African Towers is a multiple award-winning telecommunications infrastructure company and wireless service facilitator in Nigeria aimed at catering to the telecommunication needs ranging from broadband, mobile telephony to other local value-added services in Africa.