Treasury, Cash Management, Funding Manager
2026-06-01T08:16:16+00:00
axian group
https://cdn.greattanzaniajobs.com/jsjobsdata/data/default_logo_company/defaultlogo.png
https://www.axian-group.com/en/business-clusters/axian-telecom/
FULL_TIME
Dar es Salaam
Dar es Salaam
00000
Tanzania
Professional Services
Management, Accounting & Finance, Business Operations
2026-06-10T17:00:00+00:00
8
Background
Axian Group is a leading pan-African business group operating across telecommunications, digital services, financial services, energy, and infrastructure sectors. The company is committed to delivering innovative and sustainable business solutions while maintaining strong financial and operational performance. As part of its continued expansion and financial management initiatives, Axian Group is seeking to recruit a qualified and experienced professional for the position of Treasury, Cash Management, Funding Manager.
The Treasury, Cash Management, Funding Manager will be responsible for overseeing cash flow forecasting, liquidity management, reconciliation of collections, funding activities, and treasury reporting. The role requires a strategic finance professional capable of ensuring efficient treasury operations, regulatory compliance, and effective stakeholder coordination.
Duties and Responsibilities
- Managing cash flow forecasting and liquidity planning to ensure adequate funding for operational and strategic needs.
- Conducting bank reconciliations and maintaining strong relationships with banking institutions and financial partners.
- Managing debt and financing activities, including administration of loan facilities and debt obligations.
- Overseeing treasury risk management processes, reporting, and financial analysis.
- Ensuring compliance with treasury regulations and regulatory requirements, including Bank of Tanzania (BOT) and foreign exchange regulations.
- Coordinating operational treasury activities and maintaining effective communication with internal and external stakeholders.
- Preparing timely and accurate Management Information System (MIS) reports to support management decision-making.
- Supporting funding strategies and financing initiatives for the organization.
Qualification and Experience
Applicants must possess:
- A Bachelor Degree in Banking and Finance, Accounting, Economics, Business Administration, or a related field from a recognized institution.
- Professional qualifications such as CPA (T), ACCA, CFA, CTP, or equivalent certification.
- A minimum of five (5) years of relevant experience in Treasury Management, Corporate Finance, Telecom Finance, Infrastructure Finance, or related fields.
- Strong understanding of tax laws, financial regulations, and accounting principles.
- Strong analytical, financial reporting, and stakeholder management skills.
- Ability to work effectively under pressure while maintaining accuracy and professionalism
- Managing cash flow forecasting and liquidity planning to ensure adequate funding for operational and strategic needs.
- Conducting bank reconciliations and maintaining strong relationships with banking institutions and financial partners.
- Managing debt and financing activities, including administration of loan facilities and debt obligations.
- Overseeing treasury risk management processes, reporting, and financial analysis.
- Ensuring compliance with treasury regulations and regulatory requirements, including Bank of Tanzania (BOT) and foreign exchange regulations.
- Coordinating operational treasury activities and maintaining effective communication with internal and external stakeholders.
- Preparing timely and accurate Management Information System (MIS) reports to support management decision-making.
- Supporting funding strategies and financing initiatives for the organization.
- Strong analytical skills
- Financial reporting skills
- Stakeholder management skills
- Ability to work effectively under pressure while maintaining accuracy and professionalism
- A Bachelor Degree in Banking and Finance, Accounting, Economics, Business Administration, or a related field from a recognized institution.
- Professional qualifications such as CPA (T), ACCA, CFA, CTP, or equivalent certification.
- Strong understanding of tax laws, financial regulations, and accounting principles.
JOB-6a1d3fd0cc92c
Vacancy title:
Treasury, Cash Management, Funding Manager
[Type: FULL_TIME, Industry: Professional Services, Category: Management, Accounting & Finance, Business Operations]
Jobs at:
axian group
Deadline of this Job:
Wednesday, June 10 2026
Duty Station:
Dar es Salaam | Dar es Salaam
Summary
Date Posted: Monday, June 1 2026, Base Salary: Not Disclosed
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JOB DETAILS:
Background
Axian Group is a leading pan-African business group operating across telecommunications, digital services, financial services, energy, and infrastructure sectors. The company is committed to delivering innovative and sustainable business solutions while maintaining strong financial and operational performance. As part of its continued expansion and financial management initiatives, Axian Group is seeking to recruit a qualified and experienced professional for the position of Treasury, Cash Management, Funding Manager.
The Treasury, Cash Management, Funding Manager will be responsible for overseeing cash flow forecasting, liquidity management, reconciliation of collections, funding activities, and treasury reporting. The role requires a strategic finance professional capable of ensuring efficient treasury operations, regulatory compliance, and effective stakeholder coordination.
Duties and Responsibilities
- Managing cash flow forecasting and liquidity planning to ensure adequate funding for operational and strategic needs.
- Conducting bank reconciliations and maintaining strong relationships with banking institutions and financial partners.
- Managing debt and financing activities, including administration of loan facilities and debt obligations.
- Overseeing treasury risk management processes, reporting, and financial analysis.
- Ensuring compliance with treasury regulations and regulatory requirements, including Bank of Tanzania (BOT) and foreign exchange regulations.
- Coordinating operational treasury activities and maintaining effective communication with internal and external stakeholders.
- Preparing timely and accurate Management Information System (MIS) reports to support management decision-making.
- Supporting funding strategies and financing initiatives for the organization.
Qualification and Experience
Applicants must possess:
- A Bachelor Degree in Banking and Finance, Accounting, Economics, Business Administration, or a related field from a recognized institution.
- Professional qualifications such as CPA (T), ACCA, CFA, CTP, or equivalent certification.
- A minimum of five (5) years of relevant experience in Treasury Management, Corporate Finance, Telecom Finance, Infrastructure Finance, or related fields.
- Strong understanding of tax laws, financial regulations, and accounting principles.
- Strong analytical, financial reporting, and stakeholder management skills.
- Ability to work effectively under pressure while maintaining accuracy and professionalism
Work Hours: 8
Experience in Months: 60
Level of Education: bachelor degree
Job application procedure
Application Link:Click Here to Apply Now
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