Key Roles and Responsibilities
Reconciliation of various account statements and ledgers, follow up and closure of outstanding items.
Preparation of Daily reports for management. This includes data collection, analysis and presentation in ways that are easy to interpret and meaningful.
Weekly reports on operations, mid and end month report on parameters and end month summary of targets versus achievements
Analytics and presentation of patterns of data to aid in risk analysis and investment decisions.
Advice various departments such as credit department, customer service and operations department based on end of day reports and targets’ analysis as provided in the daily reports.
Conduct market and business research on various factors affecting the banking sector on a monthly basis and forward the report to management by 5th of the following month.
Monthly analysis of various ledgers in the trial balance for trend analysis and decision making.
Financial modeling for different departments
Key Skills and Competencies
Bachelor’s degree in Finance, Accounts, Business Administration or Business related field.
CPA Qualifications
Minimum of 2 years’ experience in finance.
Good understanding of Banks operations and compliance risk framework
Excellent interpersonal and networking skills, internally and externally
Good excel skills and analysis
Other Requirements
Certificate of good conduct
Clean credit reference