Finance & Treasury Operations Manager

Pouchers

Job Overview

Location

Lagos, Lagos, Nigeria

Employment Type

Full-time

Work Arrangement

Hybrid

Sector

Finance & Banking

Experience Level

Mid-level (3-5 years)

Application Deadline

May 8, 2026

About the Company

Pouchers is a dynamic multicurrency fintech platform designed for a global African audience. Our mission is to simplify cross-border financial transactions, enabling users to earn, send, and spend money instantly and affordably.

We are live on both the Play Store and App Store, and are actively building a growth engine to reach the individuals who stand to benefit most from our services. Our focus is on delivering tangible value and empowering financial connectivity across borders.

Job Description

We are seeking a detail-oriented and proactive Finance & Treasury Operations Manager to ensure the accuracy and integrity of our financial transactions and manage our treasury functions effectively.

This role is critical for maintaining operational efficiency and providing real-time insights into our financial health. You will be responsible for daily reconciliation of transactions across all infrastructure partners, ensuring discrepancies are identified and resolved promptly. Your expertise will be vital in managing pool balances and liquidity to prevent any disruptions to user transactions.

You will maintain a daily cash position report, track all business expenses, and manage payroll with accuracy and timeliness. Furthermore, you will calculate and maintain unit economics, providing clear data on the profitability and sustainability of our business model.

To apply for this role, click the Apply button on this page and follow the instructions.

Required Skills

Daily reconciliationTreasury managementLiquidity managementFinancial reportingUnit economicsCash flow managementPayroll processingPartner fee analysis

Key Responsibilities

  • Reconcile transactions across all infrastructure partners daily, resolving or escalating discrepancies immediately.
  • Manage pool balances and liquidity to ensure no user transactions fail due to insufficient funds.
  • Maintain a daily cash position report detailing all funds across various currencies and locations.
  • Prepare monthly P&L, cash flow, and expense breakdowns, including revenue by product line and costs by category.
  • Track all business expenses, providing monthly briefs on burn rate and runway, and flagging anomalies.
  • Run payroll accurately and on time each month, tracking headcount changes' impact on burn rate.
  • Calculate and maintain unit economics, including cost per active user and revenue per user.
  • Track partner fee structures against actual payments, capturing savings from tier changes and flagging cost increases.
  • Keep financial records audit-ready at all times for regulators and investors.
  • Build and maintain an operating rhythm of daily reconciliation, weekly cash position reporting, and monthly financial statements.

Qualifications

  • Experience managing treasury or finance operations at a fintech, payments company, or digital assets business.
  • Understanding of stablecoins, multi-currency settlement, and the interaction between crypto and traditional banking.
  • High level of attention to detail, with a strong drive to resolve reconciliation errors and unaccounted funds.
  • Ability to build financial models and reporting frameworks from scratch.
  • Experience holding the full financial picture of a company, not just a single aspect.
  • Excellent written communication skills for financial updates and analyses.
  • 2-4 years of experience in finance or treasury operations, with exposure to digital assets or cross-border payments.

Benefits & Perks

  • Competitive salary
  • Statutory pension
  • Career development support
  • Health insurance (HMO)

How to Apply

Apply here: Finance & Treasury Operations Manager

In Nigeria's rapidly evolving fintech sector, precise financial management and treasury operations are crucial for sustainable growth and profitability. This role demands expertise in daily reconciliation, treasury management, financial reporting, and unit economics, with a focus on delivering accurate, actionable insights. The impact of this position is directly tied to business viability and investor confidence, requiring a detail-oriented leader who can ensure financial integrity and provide a clear picture of the company's financial health to drive strategic decision-making and optimize ROI.

Posted Date

April 23, 2026