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Assistant Manager, Treasury Middle Office (Re-Advert) job at Equity Group Holdings | Apply Now
Nairobi, Kenya
Full Time
Are you looking for Finance jobs in Kenya 2025 today? then you might be interested in Assistant Manager, Treasury Middle Office (Re-Advert) job at Equity Group Holdings
About the Organisation
Equity Group Holdings is one of the region’s leading financial institutions, driven by the purpose of transforming lives and livelihoods across Africa. With a significant footprint in Kenya, Uganda, Tanzania, Rwanda, South Sudan, and the Democratic Republic of Congo, the Bank serves over 12 million customers, making it the largest customer base in Africa. Equity Group is recognized for delivering inclusive financial services that enhance economic and social development.
Job Title
Assistant Manager, Treasury Middle Office (Re-Advert) job at Equity Group Holdings
Equity Group Holdings
Job Description
The Assistant Manager, Treasury Middle Office will provide risk oversight of treasury operations across Equity Group's subsidiaries. This includes monitoring treasury transactions, ensuring adherence to internal risk policies and regulatory frameworks, verifying the valuation and reporting of treasury positions, and supporting the development of risk mitigation models. The role also involves regular engagement with subsidiary treasury teams, mentoring, and conducting market analysis to support the Bank’s financial strategies. The successful candidate will play a pivotal role in safeguarding the Bank’s financial stability by ensuring effective implementation of risk controls and treasury governance measures.
Duties, Roles and Responsibilities
Liaise with treasury representatives in subsidiaries to provide guidance on risk control and treasury operations.
Ensure accurate valuation of treasury positions and regulatory compliance.
Conduct independent oversight of treasury transactions in line with approved policies.
Monitor and report adherence to risk policies, including limits and exceptions.
Maintain historical market data and oversee system accuracy for market risk assessments.
Perform daily monitoring of trader limits, market exposure, and deal blotters.
Develop risk and valuation models for treasury products.
Participate in new product risk assessments.
Analyze treasury P&L for anomalies and trends, reporting significant variances.
Ensure compliance with dealer and counterparty limits.
Provide training and mentorship to subsidiary treasury staff.
Support ALM (Asset and Liability Management) risk monitoring.
Review and analyze treasury trades, including deal ticket verification.
Prepare and maintain MIS reports, dashboards, and other risk management documentation.
Qualifications, Education and Competencies
Education:
Bachelor's degree in a business-related field.
ACI Operations qualification.
Risk management certification is an added advantage.
Experience:
Minimum of 3 years’ experience in a treasury front or back office role.
Skills & Competencies:
Expertise in treasury risk management and compliance.
Deep understanding of financial instruments and derivatives.
Knowledge of regulatory frameworks (CBK, Basel III, IFRS 9).
Experience in Asset-Liability Management (ALM).
Proficiency in treasury systems (e.g., Bloomberg, Reuters, Murex, Kondor+).
Strong reporting, analytical, and risk assessment skills.
Ability to implement hedging and risk mitigation strategies.
Excellent problem-solving, communication, and mentoring capabilities.
How to Apply
ONLY ONLINE APPLICATIONS:
Interested candidates are advised that all applications should be submitted online;
To apply please click the “Apply” button below.