Treasury Officer
Job descriptions & requirements
Treasury OfficerKey Responsibilities
- Process and settle FX and Money Market transactions accurately and within cut-off times.
- Perform daily Nostro and GL reconciliations and resolve breaks promptly.
- Prepare and submit treasury-related regulatory and internal reports.
- Ensure compliance with AML, sanctions, CBK and internal policies.
- Maintain proper documentation and controls for all treasury transactions.
- Liaise with Treasury Front Office, Finance, Risk, ICT and correspondent banks.
- Support audits, risk assessments, and closure of findings.
Qualifications & Experience
- Bachelor’s degree in Finance, Business, Banking, Economics or related field.
- 3–5 years’ experience in Treasury Operations or Bank Back Office.
- Strong understanding of FX/MM settlements and reconciliations.
- Professional certifications (ACI, CISI, CDCS) are an added advantage.
Key Competencies
- High accuracy and attention to detail
- Strong time management and ability to work under pressure
- Good communication and teamwork
- Strong risk and compliance mindset
How to Apply
Interested candidates are invited to submit their CV and cover letter outlining their suitability for the role to careers@orchidhr.co.ke by 20th February 2026.
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