Job Vacancies @ Flutterwave Nigeria – 6 Positions

Flutterwave was founded on the principle that every African must be able to participate and thrive in the global economy. To achieve this objective, we have built a trusted payment infrastructure that allows consumers and businesses (African and International) make and receive payments in a convenient border-less manner.
We are recruiting to fill the following positions below:
1.) Manager, Business Development
2.) Senior Associate, FX Trading
3.) Senior Manager, Financial Reporting
4.) Analyst, FX Trading
5.) Head, Liquidity Management
6.) Treasurer
See job details and how to apply below.
1.) Manager, Business Development
Job Title: Manager, Business Development
Location: Abuja, Lagos, Eastern Nigeria and Northern Nigeria.
Job type: Full time
Department: Commercial Group - Enterprise
Job Description
- We are seeking to employ for Business Development Managers across all regions in Nigeria. This role will primarily be responsible for sales of the company’s products in Nigeria with key objectives to drive merchant and consumer onboarding, and achieve revenue growth.
- We are looking for candidates located in Abuja, Lagos, Eastern Nigeria and Northern Nigeria.
Day-to-Day Responsibilities
- Meet or exceed sales quotas by engaging prospects and establishing high-quality meetings that lead to a robust pipeline and revenue.
- Utilize available lead generation tools and outbound prospecting for source leads.
- Initiate contact with potential new customers across various channels
- Manage the sales cycle from initial lead generation through to transacting customers.
- Ensure effective management of relationships with key merchants (enterprise and retail businesses).
- Develop and maintain a robust pipeline of deals within the CRM system.
- Investigate and promptly resolve customer complaints across all channels.
- Review sales performance against set budgets periodically and recommend action plans for improvement.
- Prepare weekly, monthly, quarterly, and yearly sales reports for Management’s review.
- Develop a deep understanding of competitive offerings to identify strategic positioning opportunities for each Flutterwave product.
- Consult with the product development team on local market views regarding product specifications and market-relevant features.
- Perform any other duties as assigned by management.
Required Competencies and Skills
- Minimum of 3 years of progressive experience in business development and sales.
- Demonstrated curiosity and willingness to continually learn and improve.
- A passion for career growth within a fintech sales environment.
- In-depth understanding of sales systems for successful sales delivery.
- Solid knowledge of Fintech, digital banking, or payments.
- Efficient multi-tasker with the ability to work and deliver under pressure.
- Experience in creating and presenting reports to executive management.
- Proficiency in CRM tools
- Excellent negotiation and communication skills.
- Excellent presentation and facilitation skills.
- Excellent people and relationship management skills.
- Demonstrated ability to succeed in a fast-paced environment and adapt easily to new and challenging projects.
- Ability to influence others and create a sense of urgency.
- Self starter with a lot of energy and drive
Application Closing Date
Not Specified.
How to Apply
Interested and qualified candidates should:
Click here to apply online
2.) Senior Associate, FX Trading
Job Title: Senior Associate, FX Trading
Location: Lekki, Lagos
Job type: Full time (Hybrid)
Department: Finance
The Role
- As a Senior Associate, FX Trading, your primary responsibility will be to build and develop a trading strategy for all major FLW currencies in Africa & Europe.
- Additionally, deal structuring would be involved to service our concierge merchants, as well as pricing for our products (i.e remittance and others)
Responsibilities
- Support the trading of frontier and emerging market currencies
- Closely monitor and manage liquidity across currencies to support the business
- Support the structuring of treasury deals for large merchants globally
- Support the establishment of pricing rules for new products as required
- Support the development of a risk framework for FX risk
- Produce market updates and analytical content
- Establish strong working partnerships internally and externally with key stakeholders
- Generate analytics on trading activities and report periodically
- Maintain knowledge of financial markets and regulatory updates
- Ensures compliance with all banking laws, rules, regulations, and prescribed policies/practices/procedures necessary to reduce risk and uphold ethical standards
- Continuous evaluation of current processes vis-à-vis best industry practices
Requirements
Required competency and skillset to be a waver:
- 4 - 6 years post graduate experience in banking/treasury/payments/fintech
- Minimum of Bachelor’s Degree in a Business or Finance related field
- Experience & understanding of international payments, banking systems, Crypto on/off ramp
- Good understanding of the EM and G10 FX trading operations and local regulations.
- Proficiency in Excel and relevant tools
- Experience or familiarity with all or some of Emerging Markets, FX, and remittances a plus.
- Excellent Financial analytical, strategic planning and execution skills
- High Level attention to details
- Ability to manage multiple priorities and meet set deadlines.
- Excellent interpersonal, presentation skills and communication skills.
- Work goal-oriented based on minimum supervision.
- High sense of responsibility, accountability, integrity, and ethical standards
You’ll love this job if you: - Have an intellectual curiosity about payments and technology
- Have high aptitude to quickly understand customer use cases and requirements
- Have the ability to drive cross-functional teams from ideation to solution
- Have the ability to manage proactive and reactive tasks effectively
- Are self-driven, self-starter, extremely passionate, goal-getter
- Are passionate about process improvements
- Are comfortable managing relationships within every aspect of the organisation from senior executives to engineers
- Embrace the challenge of managing multiple activities simultaneously
- Are comfortable working in ambiguity and the constant change of life at a startup experiencing hyper growth.
Application Closing Date
Not Specified.
How to Apply
Interested and qualified candidates should:
Click here to apply online
3.) Senior Manager, Financial Reporting
Job Title: Senior Manager, Financial Reporting
Location: Lekki, Lagos
Department: Finance
Employment Type: Permanent - Full-time
The Role
- Flutterwave is seeking a highly skilled and experienced Senior Manager, Financial Reporting. In this role, you will be responsible for overseeing financial reporting processes and ensuring compliance with statutory requirements.
- The ideal candidate will have a strong background in financial reporting and regulatory compliance, along with excellent analytical and communication skills.
Responsibilities
Financial Reporting & Consolidation:
- Always ensure the accuracy of financial information on the ERP (NetSuite), with robust reconciliations and controls.
- Maintain complete schedules (e.g. fixed assets, prepayments, others etc.) and audit trails for all journal entries (JEs) posted in NetSuite.
- Lead monthly, quarterly, and annual close processes across subsidiaries in multiple countries.
- Prepare and review consolidated financial statements under IFRS, ensuring timely delivery to stakeholders.
- Ensure compliance with local statutory reporting requirements (e.g. CBN, FRCN, SASRA, Bank of Ghana, FSCA).
- Implement and maintain robust chart of accounts and consolidation systems for multi-entity reporting.
- Review trial balances, intercompany eliminations, and foreign currency translations.
External Audit & Compliance:
- Coordinate interim and annual audits for Group and subsidiaries; manage timelines, deliverables, and audit queries.
- Liaise with external auditors in relevant jurisdictions and ensure timely sign-off of audited financial statements.
- Support regulatory filings and board submissions (CBN, SEC, FRC, Tax Authorities).
- Ensure adherence to internal control frameworks and SOX-type standards where applicable, working closely with the ICFR team to strengthen internal controls.
Accounting Policy & Standards:
- Develop, update, and enforce Group Accounting Policies in line with IFRS, local GAAPs, and company policies.
- Lead implementation of new accounting standards (e.g. IFRS 9, 15, 16, 17, 18).
- Provide technical accounting guidance to subsidiaries and cross-functional teams.
Systems & Process Improvement:
- Drive automation and standardization of financial reporting processes.
- Drive process improvements in financial reporting, reconciliation, and close processes, ensuring efficiency and reduced risk.
- Partner with IT and FP&A teams to enhance ERP and reporting tools (e.g. NetSuite, Oracle, Power BI).
- Implement controls over journal entries, reconciliations, and financial close cycles.
Treasury, Tax, and FP&A Collaboration:
- Work closely with Treasury on FX translation and hedging disclosures.
- Collaborate with Tax on deferred tax accounting and compliance.
- Support FP&A on variance analysis, management reporting, and performance dashboards.
Leadership & Stakeholder Engagement:
- Lead and mentor financial reporting team across entities.
- Act as key liaison for board, investors, and rating agencies during reporting cycles.
- Support CFO in board presentations, investor reports, and fund-raising due diligence.
Key Deliverables
- Timely and accurate monthly management accounts and quarterly consolidated reports.
- Audited financial statements signed off within agreed timelines.
- Updated group accounting policies and IFRS compliance checklist.
- Improved financial close cycle (target ≤ 5 working days).
- Automation of reporting dashboards and variance analyses.
Requirements
- Bachelor’s Degree in Accounting, Finance, or related field.
- Professional qualification: ACA / ACCA / CPA (required).
- 10–12 years of experience in financial reporting, with at least 3 years in a managerial capacity.
- Experience in payments, fintech, banking, or financial services industry.
- Deep knowledge of IFRS and multi-jurisdictional consolidation.
- Prior exposure to audit firms (Big 4 experience is an advantage).
- Proficiency in ERP systems (NetSuite, Oracle, SAP) and reporting tools (Power BI, Excel).
- Strong technical accounting and analytical skills.
- Excellent stakeholder management and communication.
- Ability to work across multiple geographies and currencies.
- High attention to detail, integrity, and professional skepticism.
- Proven leadership and team development capabilities.
Application Closing Date
Not Specified.
How to Apply
Interested and qualified candidates should:
Click here to apply online
4.) Analyst, FX Trading
Job Title: Analyst, FX Trading
Location: Lekki, Lagos
Job Type: Full-time
Department: Finance
The Role
- As an analyst, FX Trading, your primary responsibility will be to support the development of a trading strategy for all major FLW currencies in Africa & Europe.
- Additionally, deal structuring would be involved to service our concierge merchants, as well as pricing for our products (i.e remittance and others)
Responsibilities include but are not limited to
- Support the trading of frontier and emerging market currencies.
- Closely monitor and manage liquidity across currencies to support the business.
- Support the Structuring of treasury deals for large merchants globally.
- Support the establishment of pricing rules for new products as required.
- Support the development of a risk framework for FX risk.
- Produce market updates and analytical content.
- Establish strong working partnerships internally and externally with key stakeholders.
- Generate analytics on trading activities and report periodically.
- Maintain knowledge of financial markets and regulatory updates
- Ensures compliance with all banking laws, rules, regulations, and prescribed policies/practices/procedures necessary to reduce risk and uphold ethical standards.
- Continuous evaluation of current processes vis-à-vis best industry practices
Required competency and skillset to be a waver
- Minimum of a Bachelors Degree in a Business or Finance related field
- 1 - 2 years of work experience in banking / treasury / payments / fintech
- Experience & understanding of international payments, banking systems, Crypto on / off ramp
- Good understanding of the EM and G10 FX trading operations and local regulations.
- Proficiency in Excel and relevant tools
- Experience or familiarity with all or some of Emerging Markets, FX, and remittances a plus.
- Excellent Financial analytical, strategic planning and execution skills
- High Level attention to details
- Ability to manage multiple priorities and meet set deadlines.
- Excellent interpersonal, presentation skills and communication skills.
- Work goal-oriented based on minimum supervision.
- High sense of responsibility, accountability, integrity, and ethical standards
Application Closing Date
Not Specified.
How to Apply
Interested and qualified candidates should:
Click here to apply online
5.) Head, Liquidity Management
Job Title: Head, Liquidity Management
Location: Lekki, Lagos
Job Type: Full-time
Department: Global Operation
Job Summary
- The Head, Liquidity Management role will be responsible for overseeing our operational liquidity position across all payment flows, ensuring timely funding, settlement, and execution of customer and partner payments.
- The role ensures that we can meet all settlement, payout and funding obligations across multiple currencies and jurisdictions, while maintaining strong controls, regulatory compliance, and operational resilience.
- The successful candidate will manage daily liquidity forecasting, payment approvals, bank and partner relationships, and ensure strong controls across all cash movements while supporting business growth and new market expansion.
Responsibilities
Liquidity & Cash Management:
- Monitor and manage daily liquidity positions across all accounts, currencies, and payment corridors.
- Forecast short-, medium-, and long-term liquidity requirements to support acquiring, settlement, and cross-border payment flows.
- Ensure sufficient prefunding of accounts to meet settlement obligations with card schemes, processors, banks, and partners.
- Optimize cash position to minimize funding costs while maintaining operational buffers.
Payments Execution & Controls:
- Oversee the initiation, review, and approval of outgoing payments in line with internal approval matrices and control frameworks.
- Ensure timely and accurate settlement of customer funds, merchant payouts, and partner obligations.
- Maintain strong segregation of duties and ensure compliance with internal policies and regulatory expectations.
- Support audits by providing documentation, reconciliations, and evidence of controls.
Reconciliations & Exception Management:
- Ensure daily reconciliation of balances between internal systems, bank accounts, and partners.
- Investigate and resolve breaks, delays, or failed payments promptly.
- Work closely with Finance, Risk, and Engineering teams to improve reconciliation automation and accuracy.
Banking & Partner Management:
- Manage relationships with banks, partners, and liquidity providers.
- Support onboarding of new bank accounts, payment corridors, currencies, and partners.
- Coordinate partner communications relating to funding, payout schedules, and operational SLAs.
Process Improvement & Scaling:
- Document liquidity management processes, payment workflows, and escalation procedures.
- Identify opportunities to improve efficiency, reduce manual processes, and strengthen controls as the business scales.
- Support new product launches and market expansion from a liquidity and settlement readiness perspective.
Stakeholder Collaboration:
- Work closely with Finance, Compliance, Risk, Product, and Engineering teams to ensure alignment across payment flows.
- Provide clear reporting and insights on liquidity risks, exposures, and operational performance to senior management.
Required Competency and Skillset to be a Waver
- Bachelor’s Degree with 7-9 years of experience in Treasury/Liquidity Operations/Financial Operations within fintech, payments, or banking.
- Strong understanding of acquiring, settlement cycles, cross-border payments, and multi-currency cash management.
- Hands-on experience managing payment approvals, bank platforms, and operational controls.
- Strong reconciliation, analytical, and problem-solving skills.
- Comfortable operating in a fast-paced, regulated environment.
You’ll love this job if you:
- Have an intellectual curiosity about payments and technology
- Have high aptitude to quickly understand customer use cases and requirements
- Have the ability to drive cross-functional teams from ideation to solution
- Have the ability to manage proactive and reactive tasks effectively
- Are self-driven, self-starter, extremely passionate, goal-getter
- Are passionate about process improvements
- Are comfortable managing relationships within every aspect of the organisation from senior executives to engineers
- Embrace the challenge of managing multiple activities simultaneously
- Are comfortable working in ambiguity and the constant change of life at a startup experiencing hyper growth.
Application Closing Date
Not Specified.
How to Apply
Interested and qualified candidates should:
Click here to apply online
6.) Treasurer
Job Title: Treasurer
Location: Lekki, Lagos
Job Type: Full-time
Department: Finance
Job Summary
- The Treasurer, Africa will develop and execute Flutterwave's treasury strategy, manage financial risk, and optimize capital and liquidity.
- This role requires a strong understanding of financial markets, significant leadership experience, and the ability to build and maintain relationships with key stakeholders.
- The Treasurer will play a crucial role in ensuring Flutterwave's financial stability and efficiency in the global financial landscape.
Responsibilities
Strategy Development & Execution:
- Collaborate with senior management to develop and implement a comprehensive treasury strategy aligned with Flutterwave's overall business objectives.
- Lead the development and scaling of a treasury function, managing cash, investments, and liquidity across all major positions.
- Identify and capitalize on market opportunities to maximize profitability and manage risk, in collaboration with senior management.
- Work closely with the expansion team for banking partnerships and financial infrastructure.
- Monitor and analyze global economic and financial market developments and their potential impact on treasury operations.
Financial Risk Management:
- Establish and maintain robust financial risk management frameworks and policies (including FX, interest rate, and liquidity risks).
- Oversee the monitoring and management of financial exposure, including hedging strategies, to mitigate potential losses.
- Develop and implement hedging strategies.
- Support the implementation of a comprehensive risk management policy to cover financial and liquidity risks.
- Ensure compliance with all relevant regulatory requirements and internal controls.
Treasury Operations:
- Oversee the execution of treasury transactions, ensuring efficiency and accuracy.
- Manage relationships with banks, financial institutions, and other counterparties.
- Optimize treasury processes and systems to enhance performance.
- Analyze treasury performance and generate reports to improve profitability.
- Structure treasury deals for large merchants, including servicing our concierge merchants.
- Contribute to establishing pricing rules for remittance products and new products.
- Support new bank onboarding and financial activities.
- Ensure standard daily and periodic reporting and maintain process documentation for all relevant reports, including funding and liquidity metrics.
Capital & Liquidity Optimization:
- Develop and maintain pricing models to ensure competitiveness and profitability.
- Analyze and report on treasury performance, identifying areas for improvement.
- Support the CFO in capital planning, fundraising, and investment decisions.
- Evaluate and recommend investment opportunities for excess cash in low-risk instruments.
- Contribute to capital structure optimization and funding strategy (e.g. CP issuances, term loans, equity injections)
Stakeholder Management:
- Collaborate with internal stakeholders, including finance, product, and technology teams.
- Build and maintain relationships with external stakeholders, including banks, regulators, and industry associations.
- Present to senior management on treasury performance and strategy.
- Establish strong working partnerships externally with key banking partners and internal stakeholders.
- Ensure continuous and effective engagement of relevant stakeholders in achieving operational efficiency and financial growth.
Qualifications
- Bachelor's Degree in Finance, Economics, or a related field; Master's degree or relevant professional certifications (e.g., ACT, ACA, CFA, FRM, CTP) preferred.
- Minimum of 12 years of experience in treasury or financial management, with a developed network of financial partners.
- Experience & understanding of international payments, banking systems, Crypto and Defi workflow platforms.
- Good understanding of emerging markets and G10 financial operations and local regulations.
- Advanced proficiency in Excel, SQL, and relevant treasury tools.
- Experience or familiarity with all or some of Emerging Markets, FX, and remittances.
- Excellent financial analytical, strategic planning and execution skills.
- Strong leadership and team management abilities.
- Ability to manage multiple priorities and meet set deadlines.
- Excellent interpersonal, presentation, and communication skills.
- Work goal-oriented and able to work under minimal supervision.
- High sense of responsibility, accountability, integrity, and ethical standards.
- Authorization to work in the country without sponsorship.
- Ability to work in a fast-paced and dynamic environment.
- Experience with relevant treasury platforms and financial software.
- Experience in the African fintech space is a definite plus
Application Closing Date
Not Specified.
How to Apply
Interested and qualified candidates should:
Click here to apply online