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Reconciliations Officer at Old Mutual Kenya

JobWebKenya

Accounting, Auditing & Finance

KES Confidential
3 weeks ago

Job Summary

 

Job Description/Requirements

Job Description

Old Mutual Kenya is based in Nairobi and is part of a larger group that offers solutions in long-term savings, asset management and investment. We offer solutions to individuals and corporates underpinned by our core values which are: Respect, Integrity, Accountability and Pushing beyond boundaries.

JOB SUMMARY

The main aim and purpose of the role is to ensure that there is delivery on daily production through taking personal responsibility for work allocated as well as collaborating effectively with other team members. Production should be within service delivery standards set by the standardized operating procedures. This role also responds to administrative queries per the set timelines. This role is responsible for building and maintaining relationships with other departments that its dependent on.

 KEY TASKS AND RESPONSIBILITIES

Operational Efficiency

Prepare and submit daily cash reconciliation and monthly asset reconciliation with custodians and ensure that the reports are accurate, and any cash and securities outstanding items are properly justified and followed up. Maintains orderly and readily obtainable reconciliations records for research and examination purposes. Assists/performs operational testing of system enhancements and new software applications related to cash and asset reconciliation for accuracy and usability. Take on Assets for new clients and Sell off Assets for transferring clients to ensure proper record maintenance. Escalate and provide appropriate documentation to management in a timely manner for open items that exceed the aging standard. Researches, identifies, and provides resolution on complex unreconciled items with minimal supervision. Conduct root cause analysis of unreconciled items in order to solve all discrepancies that create control breaks. Create opportunities to improve the overall process of reconciliation by interacting with different stakeholders to resolve unreconciled issues. Develop and maintain written operational procedures for all tasks performed and cross train to provide effective support to all team members. Identify areas where controls and procedures can be improved in the preparation of the account reconciliations and propose solutions. Data Management – Protection and Privacy  – Ensure privacy of client data is maintained as aligned to the Data Protection Act of . Ensure alignment and conforming to BU Data Governance Frameworks.

Behavioural skills/competencies

Ability to flexible, agile and adaptable to change. Time management and ability to prioritize. Ability to communicate and work well within a team. Ethics & Integrity

Risk & Compliance Management, Control Environment, and Internal Governance

Escalate risks/control breaks to management when identified. Assist in management of those risk/control breaks. Assist in audit management process as required by manager. Compliance to all regulatory requirements and internal policies

Financial Management

Personal input in management of unit’s budget by avoiding wastage of resources and expenses.

REQUIREMENTS

SKILLS AND COMPETENCIES

3-5 years in Fund Management Operations. Ability to work independently with minimal supervision. Must be able to manage multiple projects and priorities. Excellent verbal, written, and Microsoft excel skills. Strong aptitude for query design, documenting requirements, and process improvement. Attention to detail by being able to perform defined, repetitive processes accurately and efficiently.

KNOWLEDGE & EXPERIENCE 

2-3 years in Fund Management Operations or banking Operations. Knowledge of financial service operations and financial markets Certifications in ACCA, CPA, CISI.

QUALIFICATIONS

Business related degree from a recognized institution.

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