Accounting, finance, banking, insurance jobs in Athi River, Kenya

57 jobs found

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Treasury Operations Officer (Swift and Trade Settlements)

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Jobs in Nairobi, Jobs in Athi River

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Treasury Operations Officer (Swift and Trade Settlements)

Job details

Contract Type

Description

Duty Station

The duty station is Nairobi, Kenya.Qualifications and Competencies

  • A Master's degree in Finance, Accounting, Banking, Economics, or a related field from a recognized institution.
  • ACI operations certification will be an added advantage.
  • A minimum of 5-8 years of proven experience in treasury operations, including payments processing and FX and money market trade settlements, in a Commercial/Development Banking or Financial institution environment.
  • Strong working knowledge of SWIFT messaging, settlement workflows, and payment authorization controls.
  • Experience in daily reconciliations, variance investigation, and cash position reporting.
  • Solid understanding of treasury-finance hand-offs, audit-readiness, and operational risk controls.
  • Strong attention to details, problem-solving skills, and ability to meet strict payment cut-off times.
  • Effective communication and coordination skills for internal stakeholders and client inquiries.
  • Proven organizational, problem solving and decision-making skills with the ability to build partnerships, work in multinational teams, deliver results and manage client relationships.
  • Fluency in English is required. Knowledge of another official langugage of TDB Group's member states (French or Portuguese) would be an added advantage.


Responsibilities
  • Conduct daily reconciliatons and variance investigation and preparation of the daily payment reconciliation report.
  • Monitoring of interest due, principal repayments, and debt service schedules.
  • Coordinating settlement instructions for FX and money market trades including validating, confirming, and settling trades.
  • Review trade amendments, cancellations, rebooking for unusual patterns, and ensure all transactions are authorized.
  • Managing and validating Payment Application Forms (PAFs) prior to processing.
  • Maintaining Treasury-Finance hand-off records and ensure audit readiness.
  • Support the daily cash position reporting and treasury reconciliations.
  • Evaluate and enhance processes for mitigating risks associated with payments and treasury related transactions.
  • Handle client inquiries regarding payments, transfers, and providing timely resolution.
  • Maintain payment cut-off times, monitor daily queues, and optimize workflow to ensure high-quality service levels.
  • Strengthening internal controls and reduce exposure to operational errors, including payment duplication and delayed settlements.
  • Enhancing coordination between Finance and Treasury, ensuring efficient processing and reduced bottlenecks.
  • Supporting remediation operational risk actions minimizing remediation costs.
  • Performing any other duties as may be assigned by Management.


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