Accounting, finance, banking, insurance jobs in Kiambu, Kenya

58 jobs found

The Eastern and Southern African Trade and Development Bank (TDB)

Treasury Officer (Liquidity, Reporting & Loans Payable Reconciliation)

Nairobi Kenya
The Eastern and Southern African Trade and Development Bank (TDB)

Treasury Operations Officer (Swift and Trade Settlements)

Nairobi Kenya
Britam

Senior Actuarial Manager

Nairobi Kenya
SBM Bank

Universal Banker - Nanyuki

Nairobi Kenya
SBM Bank

Relationship Manager, Elite & Diaspora Banking - Nanyuki

Nairobi Kenya
SBM Bank

Branch Manager - Nanyuki

Nairobi Kenya
Takataka Solutions

Accounts Assistant - Receivables

Nairobi Kenya
DHL Kenya

Chief Financial Officer (CFO) – Kenya

Nairobi Kenya
Lami Technologies

Junior Finance Associate

Nairobi Kenya

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Syngenta Kenya

Junior Accountant

Nairobi Kenya

Country / Region

Profession

Seniority (Accounting, finance, banking, insurance)

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Treasury Officer (Liquidity, Reporting & Loans Payable Reconciliation)

Job details

Contract Type

Description

Qualifications and Competencies

  • A Master's degree in Finance, Accounting, Banking, Economics, or a related field from a recognized institution.
  • Relevant professional qualification as added advantage.
  • A minimum of 5-8 years of proven experience in treasury liquidity management, cash position reporting, and reconciliations within a Commercial/Development Banking or Financial institution environment.
  • Experience in monitoring settlements flows, loan repayments, and short-term cashflow projections.
  • Solid understanding of treasury-finance hand-offs, liquidity reporting, and internal frameworks.
  • Strong analytical skills with high attention to detail and accuracy in reporting.
  • Ability to support funding decisions and manage multiple priorities under strict timelines.
  • 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
  • Daily liquidity monitoring and reporting across all bank accounts.
  • Supporting daily cash position reporting and treasury reconciliations.
  • Preparation of short-term cashflow projections.
  • Supporting intraday and end-of-day funding decisions.
  • Monitoring settlement flows for disbursements, money market transactions, FX, and loan repayments.
  • Strengthening internal controls and reducing exposure to operational errors, including payment duplication and delayed settlements.
  • Improving the accuracy and timeliness of reconciliations and liquidity reporting.
  • Enhancing coordination between Finance and Treasury to ensure efficient processing and reduced bottlenecks.
  • Supporting remediation of operational risk actions to minimize remediation costs.
  • Handling client inquiries regarding payments and transfers and providing timely resolution.
  • Performing any other duties as may be assigned by Management.


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