Jobs Career Advice Signup
X

Send this job to a friend

X

Did you notice an error or suspect this job is scam? Tell us.

  • Posted: Jul 1, 2022
    Deadline: Jul 22, 2022
    • @gmail.com
    • @yahoo.com
    • @outlook.com
  • Never pay for any CBT, test or assessment as part of any recruitment process. When in doubt, contact us

    GA Insurance Ltd was incorporated in 1979 after the exit of General Accident Insurance. The company has over 50 years’ experience in general insurance underwriting inherited from its parent firm, General Accident Insurance (UK). It continues to underwrite various classes of risks in the general insurance segment, which includes medical and travel insur...
    Read more about this company

     

    Deputy Manager – Treasury, Investments & Credit Control

    Job Summary:

    Deputizing the GM – Treasury, Investments & Credit control, the incumbent shall be responsible for supporting the efficient management of the company’s investment portfolio, and treasury function in addition to accountability on the credit granting process, including the consistent application of a credit policy, periodic credit reviews of existing customers, and the assessment of the creditworthiness of potential customers

    Duties and Responsibilities:

    • Efficiently and actively (day-to-day) managing the company’s entire investments portfolio made up of Government Bonds, Corporate Bonds, Quoted Equities, Non-Quoted Equities, Bank Deposits, Cash at Bank, and Properties and daily reporting on the Company’s daily performance to the GM.
    • Actively (day-to-day) participate in bonds and equities trading at the NSE and daily reporting on the Company’s daily performance to the GM
    • Actively (day-to-day) managing the company’s Treasury Function and managing liquidity and daily reporting on the Company’s daily performance to the GM.
    • Develop and update investment/treasury/credit policies on a regular basis
    • Reporting on the Company’s investment performance to the Management, Board Investment Committee, and the Board.
    • Generate investment income revenues to meet the set targets.
    • Maintain counterparty relationships, accounts, credit/trading limits, and correspondence.
    • Maintain external relationships with regulators and market bodies.
    • Mobilize funds from premiums collections and other investments to fund the balance sheet.
    • Manage to the price of the company liabilities.

    Credit Control Function:

    • Reconcile debtors sub-ledger to General ledger
    • Maintain weekly collections as per approved forecasts and maintain an updated collection report.
    • Identify changes in payment patterns and propose action to avert indebtedness
    • Provide information for recommending bad debts provision in line with credit policy
    • Ensure all Client reconciliation issues are raised with respective departments and sorted out.
    • Collect all outstanding debt from customers within the credit control policy and as per set targets.
    • Ensure correct weekly debtors reports circulation for debtors and cash inflow forecasts
    • Ensure monthly debtors’ statements generation and emailing
    • Monitor the actual and projected exposure against the credit limit
    • Analyze and reconcile all client statements and circulate them monthly to all stakeholders to facilitate collection.
    • Ensure credit policy relevancy, compliance, and adherence (Held, Suspended Accounts)
    • Creation of new customer accounts as per policy
    • Ensure credit accounts are created only after getting fully approved credit application forms
    • Coordinate monthly credit control meetings.

    Knowledge, experience, and qualifications:

    • Bachelor’s degree in Finance, Accounting, Business, Statistics, Mathematics, Economics, or related fields from a recognized institution.
    • Certified Public Accountant (CPA- K) or Certified Financial Analyst or its equivalent whether fully/part qualified
    • Eight (8) years experience in Treasury & Investments functions out of which 5 years should be at the Head or senior management level in a financial institution.
    • Five (5) years of experience in active bonds and equities trading at the NSE
    • Excellent interpersonal, communication, and negotiation skills
    • Excellent writing and presentation skills.
    • Critical thinking and problem-solving skills
    • Excellent decision-making and leadership capabilities
    • Customer and Stakeholder management skills
    • Ability to work under pressure and within strict deadlines
    • Entrepreneurial/Commercial mind-set

    Method of Application

    Interested and qualified? Go to GA Insurance on www.gainsuranceltd.com to apply

    Build your CV for free. Download in different templates.

  • Send your application

    View All Vacancies at GA Insurance Back To Home

Subscribe to Job Alert

 

Join our happy subscribers

 
 
Send your application through

GmailGmail YahoomailYahoomail