Educational Qualifications
•Minimum: Bachelor’s degree in Banking & Finance, Economics, Business Administration, or a related field.
•Preferred: Master’s degree (MBA, MSc in Finance or Treasury Management).
Experience Required
Minimum: 3–5 years of experience in financial institutions relationship management, treasury operations, correspondent banking, or trade finance.
•Preferred: Strong experience with interbank transactions, NOSTRO/VOSTRO accounts, and cross-border payments in a regulated banking environment.
Competencies Required
•Interbank markets, correspondent banking, SWIFT operations, and bilateral agreements.
•KYC, AML/CFT requirements, and international banking compliance norms.
•Establish and manage relationships with local and international financial institutions.
•Negotiate and review correspondent banking agreements.
•Monitor and manage NOSTRO positions and FX settlements.
•Treasury Management Systems (TMS), SWIFT, Core Banking Systems.
•Microsoft Excel and financial reporting tools.
Personal Attributes
. Strong negotiation and relationship-building skills.
•Strategic thinker with attention to risk and compliance
•Excellent communication and cross-cultural interpersonal skills.
•Analytical and detail-oriented with sound decision-making capability.
•High level of integrity and professionalism.
leadership Capabilities
•Represents the bank in all institutional banking engagements and correspondence.
•Leads strategic partnerships with other financial institutions and regulators.
•Guides the treasury team on FI-related matters and ensures alignment with treasury goals.
•Contributes to risk mitigation and compliance enforcement related to FI transactions.