Weatherford is recruiting a Treasury Manager, to be based in Luanda, Angola.
Duties
- Managing all treasury and banking aspects
- Achievement of cash repatriation objectives
- Currency related issues
- Banking mandates, banking and industry relationships
- Treasury reporting
- Main point of contract for Corporate Treasury for all cash responsibilities in Angola
- Responsible for all Treasury, Cash and Capital Structure activities in Angola
- Prepare periodic cash flow forecasts and cash transfers in line with treasury policies.
- Work with Region and Corporate Treasury management on priority issues
- Responsible for the provision of accurate and timely cash forecasts and banking reports to comply with corporate treasury requirements
- Responsible for ensuring internal controls over Cash and Treasury are in place and operating effectively, complying with company policy and SOX
- To develop and improve processes and procedures, including implementing new systems within the Treasury and Capital Structure function to improve accuracy and efficiency and comply with local and company policies
- The position may require ability for international travel
Requisites
- A minimum of 5 years of experience working in a similar position
- Solid experience implementing cash repatriation and treasury processes in Angola
- Sound experience dealing with national financial authorities
- Bachelor Degree with a major in Finance. MBA or Master preferred
- Excellent negotiation skills
- Proficiency in Portuguese and English
- Preferred: Knowledge/experience of oil & gas industry
- Experienced in US monthly reporting and US GAAP accounting
- Knowledge/experience of Sarbanes Oxley and other SEC requirements
- Knowledge/experience of using JD Edwards and Hyperion
Notes
- Only short listed applicants will be contacted
How to Apply