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Treasury Officer (French-speaker) at Thunes
JobSearch
Nairobi 🇰🇪 Kenya
Posted 1 day ago (9 Oct 2026) Updated about 1 hour ago
Job Description
The Treasury Officer manages international cash and liquidity, performs daily cash‑flow forecasting and oversees settlements and foreign‑exchange transactions. They generate funding wires, monitor network funding flows, and support clients with prefunding issues while maintaining working capital. The role requires strong analytical skills, fluency in French and experience with treasury systems and payment networks.
Qualifications & Requirements
- • BA/BSc/HND in a relevant field
- • Minimum five years experience in a treasury or cash‑management role
- • Proven experience with cross‑border payments and payment systems (SWIFT, SEPA, GIRO, RTGS)
- • Strong knowledge of foreign‑exchange markets and cash‑management concepts
- • Advanced Excel skills including macros, VLOOKUP and pivot tables
- • Fluent French, preferably with experience in Francophone Africa
Required Skills
Responsibilities
- • Perform daily cash‑flow forecasting for global payout partners
- • Generate and release funding wires and FX conversions with banks and liquidity providers
- • Monitor network funding flows and confirm credit of funds
- • Assist clients with incoming prefunding issues
- • Manage working capital and liquidity positions
- • Prepare and execute daily settlements and FX transactions