
Posted
4 months ago
Deadline
30th Oct, 2025
Location
Nairobi, Kenya
Job Type
full time
You will support the coordination and implementation of the Group’s market and country risk management policies and processes. Your role will require you to support the identification and evaluation of market and country risks.
At least an undergraduate degree or its equivalent in Mathematics, Finance, Banking, Economics, Business Administration (with a major in Finance) or similar quantitative disciplines
Post graduate qualifications such as FRM, CFA and MBA will be an added advantage
CPA (K) /ACCA qualification a must
ACI Certification desirable
FRM Certification desirable
Preferably a minimum of 6 years of relevant professional experience in banking and/or finance
At least 3 years in Financial Markets/Product Control related areas
Experience with MS office and Treasury trading systems
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