Process and record treasury transactions including FX deals, money market placements, borrowings, and investments in accordance with approved procedures.
Perform deal confirmation and settlement with counterpart banks to ensure accuracy and timeliness.
Maintain proper documentation for treasury transactions, including confirmations, contracts, and correspondence.
Assist in daily settlement of treasury cash flows, ensuring all transactions are completed within agreed timelines.
Update treasury deals and related entries in the core banking or treasury management system accurately.
Support Nostro and internal account reconciliations, identify discrepancies, and report issues for resolution.
Prepare basic treasury operational reports and provide data required for management and regulatory reporting.
Coordinate with Front Office, Finance, and Operations teams to ensure smooth execution of treasury activities.
Ensure compliance with internal controls, treasury policies, and regulatory guidelines.
Assist in responding to audit queries and provide required operational documents.
Monitor pending items and follow up with counterparties to ensure timely closure.
Maintain confidentiality and accuracy when handling high‑value and sensitive transactions.
Support senior staff in process improvements, system updates, and operational enhancements.
Perform other treasury back‑office duties as assigned by supervisors.
Job specification
Bachelor’s degree in Finance, Accounting, Business Administration, Economics, or Banking.
Professional qualifications such as ACCA, CPA, CFA (Level I/II), or equivalent are an advantage.
Minimum 3–5 years of relevant experience in Treasury Back Office / Treasury Operations within a bank, financial institution, or regulated entity.
Hands-on experience in settlement, reconciliation, treasury accounting, and reporting.
Prior exposure to interbank transactions, FX, money market instruments, and investments preferred.