Business, strategic management jobs in Athi River, Kenya

40 jobs found

Central Bank of Kenya

Officer, Clearing Operations (Business Analyst 1)

Nairobi Kenya
SOS Children's Villages

Business Analyst D365 Finance and Operations

Nairobi Kenya
Central Bank of Kenya

Business Analyst 1, Data Analysis (Business Analyst 1)

Nairobi Kenya
British American Tobacco

Agribusiness ESG Manager

Nairobi Kenya
Mini Group

Key Accounts Managers (Modern Trade)

Nairobi Kenya
Diageo

Market Category Manager, Agriculture Development (Africa)

Nairobi Kenya
Unilever

Territory Manager- Gamaag

Nairobi Kenya
Smollan

GA Business Sales Consultant: Stanbic (Kenya)

Nairobi Kenya
Smollan

GA Trade Development Representative - Safaricom (Kenya)

Nairobi Kenya

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Oasis Outsourcing

Jr Operations Supervisor

Nairobi Kenya

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Jobs in Nairobi, Jobs in Athi River

Country / Region

Seniority (Business, strategic management)

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Central Bank of Kenya

Banking + 2 more

Officer, Clearing Operations (Business Analyst 1)

Job details

Contract Type

Description
Qualifications


1. Bachelor’s degree in economics, Banking, Accounting, Finance, Business Administration, Mathematics, Computer Science, or related field of study.

2. Professional qualification in Banking, Accounting, Finance, Risk Management, or related field of study is an added advantage.


Work Experience

At least two (2) years’ experience in Payments and Operations, Financial Services, Economics, Accounting, or similar operations.


Responsibilities

Technical and Operational Responsibilities

1. Contribute to the smooth operations of the Clearing Section.

2. Comply with KBA Standards and Regulations.

3. Input/approve Clearing Voucher/Return codes.

4. Input/ approve Bank and Branches codes.

5. Download inward payments from the Automated Clearing House.

6. Upload outward payments to the Automated Clearing House.

7. Process Outward cheques, Inward cheques, and cheque verification.

8. Process Outward EFTs (unpaid EFT credits), and Inward EFTs Credits.

9. Process Domestic Foreign Currency Cheque Clearing (DFCCC).

10. Input Banks’ DFCC Guarantees.

11. Facilitate the processing of non-CTS compliant cheques.

12. Operate MICR cheque readers system.

13. Monitor settlement of Payment Switch Operators (PSOs) net settlements instruction (NSI) files in KEPSS. (Kenswitch Ltd, Integrated Payment Services Ltd {IPSL} and Interswitch Kenya Ltd.)

14. Support Branches clearing operations.

15. Diligently approve a variety of Clearing Section transactions.

16. Ensure compliance with operational, security and control policies/ procedures, preventing fraud and loss to the Bank.

17. Process clearing files in the ACH system to distribute them to the respective clearing centers.

18. Maintain the Bank and Branch codes in the ACH system as advised by the KBA.

19. Maintain Direct Debit codes in the ACH system as advised by KBA.

20. Create Bank Admins and provide passwords for accessing the ACH system on receipt of request forms.

21. Unlock/reset Commercial Bank Admin passwords on receipt of request forms.

22. Lock the passwords of Bank Admins who have ceased to be Banks’ clearing staff.

23. Any other roles as may be assigned by the supervisor.

24. Audit designated cashier as per schedule by the chief Cashier.


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