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WaterAid
Regional Finance & Operations Coordinator
Nairobi
• Kenya
Profession (Entry and Basic-level)
Accounting, finance, banking, insurance,Administrative, clerical,Agriculture, fishing, forestry, wildlife,Business, strategic management,Construction,Customer support, client care,Design, arts,Electrical engineering,Engineering, architecture,Food, nutrition,Government, community development, public services,Human resources,Information technology, software development, data,Installation, maintenance, repair,Legal,Manufacturing, operations, quality,Mechanical engineering,Media, communications, languages,Medical, health,Project, program management,Research, academy,Restaurant, hospitality, travel,Sales, marketing, promotion,Security,Sports, beauty, wellbeing,Teaching, training,Transportation, logistics, driving,
Industry (Accounting, finance, banking, insurance, Entry and Basic-level)
Agriculture, fishing, forestry,Banking, microfinance, insurance,Computers, software development and services,Consulting, business support, auditing,Education, academic,Electronics,Financial Services,Governmental,Health care, medical,Housekeeping, maintenance,Human resources, talent development, recruiting,Manufacturing,Non-profit, social work,Outsourcing, leasing,Restaurant, hospitality, travel,Telecommunications,Transportation, logistics, storage,
Seniority (Accounting, finance, banking, insurance)
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I&M Bank
Banking + 2 more
Description
Academic Qualifications:
- Bachelor’s degree in a Business-related course from a recognized institution.
- Part completion of CPA (K), ACCA or its equivalent.
Work Experience.
At least one-year relevant experience.
Skills & Attributes
- Excellent communication and interpersonal skills.
- Strong planning and organization skills.
- Ability to work within a team.
Responsibilities
Process customer transactions.
- Process in-house cheques.
- Receive outward cheques, VAT and PAYE payments.
- Process card payments such as Prepaid, Multi-currency and Narada Card.
- Carry out daily call backs and filing.
- Cross- sell the Bank’s products.
- Handle customer enquiries.
- Balance cash daily in the till with the system and observe intra - day and end of day cash limits.
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