Banking, microfinance, insurance Jobs in Africa

40 jobs found

First Bank of Nigeria Limited

Product Control Officer

Lagos Nigeria
Closed for applications
Central Bank of Kenya

Manager, Banking Services (Manager 2) - Meru

Meru Kenya
Closed for applications
Central Bank of Kenya

Manager, Banking Services (Manager 2) - Head Office

Nairobi Kenya
Closed for applications
Central Bank of Kenya

Manager, Banking Services (Manager 2) - Eldoret

Eldoret Kenya
Closed for applications
Central Bank of Kenya

Manager, Banking Services (Manager 2) - Mombasa

Mombasa Kenya
Closed for applications
Wema Bank Plc

Product Manager – Workplace Banking

Lagos Nigeria
Closed for applications
Central Bank of Kenya

Officer, Banking Services (Business Analyst 1) in Nyeri

Nyeri Kenya
Closed for applications
Central Bank of Kenya

Officer, Banking Services (Business Analyst 1) in Meru

Meru Kenya
Closed for applications
Central Bank of Kenya

Officer, Banking Services (Business Analyst 1) in Mombasa

Mombasa Kenya
Closed for applications

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Central Bank of Kenya

Senior Banking Services Officer in Head Office

Nairobi Kenya
Closed for applications

Country / Region

Seniority (Banking, microfinance, insurance)

© Fuzu Ltd

Product Control Officer

Closed for applications
Job details

Contract Type

Description

Education

  • Bachelors Degree in Accounting, Economics or any related field.
  • Must possess at least 5 years’ relevant experience in a similar role.
  • CFA or ACA/ACCA; Accounting or related Bachelors.


Responsibilities
  • Daily review and reconciliation of Account Balances in Treasury Application, i.e., Calypso to Core Banking Application Balances.
  • Daily review and reconciliation of Treasury suspense Account.
  • Daily validation of the previous day’s closing positions of Treasury Products (Fixed Income Securities, Placements & Takings, Fx and Derivatives).
  • Daily review & validation of Receivables, Payables and Contingent Accounts of Treasury Products.
  • Daily root-cause analysis of variances, raise exceptions against originating users/departments and/or obtain approvals for corrections (where applicable).
  • Daily GL-Blotter Reconciliation to ensure all deals consummated by Treasury dealers are documented in the blotter and posted into the Ledger, with prompt escalation of all outstanding.
  • Timely preparation and delivery of Daily Profit or loss Report for Treasury Products for Trading Desks & other Units.
  • Monthly validation of the completeness of Fixed Income Securities & Pledges held by the bank in S4, CSCS & FMDQ and other depositories.
  • Monitor the compliance of Treasury units with the Product Control Framework and other regulatory guidelines on Treasury Products.

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