Project Manager Jobs in Kenya

130 jobs found

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

Treasury Officer (Liquidity, Reporting & Loans Payable Reconciliation)

Nairobi Kenya
Closed for applications
Habitat for Humanity

Monitoring, Evaluation and Learning Specialist

Nairobi Kenya
Closed for applications
GIZ KE

Administrative Intern - Climate Sensitive Agriculture & Pastoralism in Northern Kenya (CLAP)

Nairobi Kenya
Closed for applicationsOnly on Fuzu
Oasis Outsourcing

Executive Assistant / Chief of Staff (to the CEO)

Nairobi Kenya
Closed for applications
G4S Kenya Ltd

LEARNING & DEVELOPMENT MANAGER

Nairobi Kenya
Closed for applications
Unifi

Finance Operations

Nairobi Kenya
Closed for applications
Turnkey Africa Ltd

Lead Delivery Consultant

Nairobi Kenya
Closed for applications
World Health Organization

SSA - Programme Assistant (GS.5) - (2601557)

Nairobi Kenya
Closed for applications
Bakyson Enterprises Limited

Sales Associate – ICT & ELV Solutions

Nairobi Kenya
Closed for applicationsOnly on Fuzu

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UNEP

Programme Management Assistant, G6

Nairobi Kenya
Closed for applications

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Treasury Officer (Liquidity, Reporting & Loans Payable Reconciliation)

Closed for applications
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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