Assistant Manager, Balance Sheet Management
2025-07-17T16:08:32+00:00
SBM Bank
https://cdn.greatkenyanjobs.com/jsjobsdata/data/employer/comp_3993/logo/SBM%20Bank.png
https://www.greattanzaniajobs.com/jobs
FULL_TIME
Nairobi
Nairobi
00100
Kenya
Banking
Accounting & Finance
2025-07-31T17:00:00+00:00
Kenya
8
Job Purpose:
The position will generate treasury revenue from asset & liability management processes through strategic positioning of assets and liabilities whilst effectively managing liquidity and interest rate risks
Key Responsibilities
- Maximize in investment of excess cash and trading of Government Securities for the bank
- Assist in cash flow forecasting process for the group as part of liquidity management and carry out liquidity scenario analysis.
- Ensure Asset Liability Management (ALM) strategies are executed and monitored for optimal revenue
- Provide Asset Liability Committee (ALCO) with investments proposals and substantive documents on market trends touching on interest rates.
- Ensure that all types of liquidity risks within the bank are captured and appropriately managed ensuring that the bank meets regulatory liquidity requirements.
- Understand business lending pipelines and provide appropriate funding solutions at optimal pricing.
- Add value to the Funds Transfer Pricing process and advice transfer rates to various stakeholders on monthly basis or otherwise as per policy.
- Assist Market Risk in the planning of ALCO meetings focusing on strategic ALM concerns.
- Manage efficiency and profitability of liquid asset portfolio, advising on yields and amounts.
- Monitor market conditions and explore hedging opportunities for the various books and prepare the investment and divestment proposals
- Advice on liability planning, pricing, and market trends
- The role will be a proxy to the Forex (FX) and Money market Desks
Customers of this Position
- All Departments in the Bank
Knowledge; Skills and Experience required for this Role
- Business graduate from an accredited University with a Finance, Mathematics or Economics Major
- Comprehensive understanding of Money Market, FX market, Fixed Income and assets and liabilities of a bank.
- Good understanding of dynamics of financial markets and local / regional regulatory environment.
- MBA in Finance or CFA would be an added advantage
Competencies required for this Role
- Dynamic, analytical and self-driven individual with the ability to work under pressure.
- A passion for performance, team play and achievement in a competitive and dynamic environment
- Hardworking, strategically minded individual with excellent communication, analytical and interpersonal skills.
- Thorough understanding of the Money markets/Forex procedures and practice and the ability to interact with all levels of management and staff
- Must have initiative to learn beyond scope of duty.
Funds management
- Source funding for Bank’s cash position, when required
- Ensure that we have sufficient assets to cover our liquid asset requirement
- Ensure Knowledge of ALM and at least attend one ALCO meeting a quarter
- Ensure knowledge of local regulatory pertaining to treasury and compliance of the same
- Provide backup for the Money Market Dealer and FX dealer.
Accountability
- Delegated Authority;
- Management of the Bank’s Assets and Liabilities
Maximize in investment of excess cash and trading of Government Securities for the bank Assist in cash flow forecasting process for the group as part of liquidity management and carry out liquidity scenario analysis. Ensure Asset Liability Management (ALM) strategies are executed and monitored for optimal revenue Provide Asset Liability Committee (ALCO) with investments proposals and substantive documents on market trends touching on interest rates. Ensure that all types of liquidity risks within the bank are captured and appropriately managed ensuring that the bank meets regulatory liquidity requirements. Understand business lending pipelines and provide appropriate funding solutions at optimal pricing. Add value to the Funds Transfer Pricing process and advice transfer rates to various stakeholders on monthly basis or otherwise as per policy. Assist Market Risk in the planning of ALCO meetings focusing on strategic ALM concerns. Manage efficiency and profitability of liquid asset portfolio, advising on yields and amounts. Monitor market conditions and explore hedging opportunities for the various books and prepare the investment and divestment proposals Advice on liability planning, pricing, and market trends The role will be a proxy to the Forex (FX) and Money market Desks
Business graduate from an accredited University with a Finance, Mathematics or Economics Major Comprehensive understanding of Money Market, FX market, Fixed Income and assets and liabilities of a bank. Good understanding of dynamics of financial markets and local / regional regulatory environment. MBA in Finance or CFA would be an added advantage
No Requirements
JOB-6879200030669
Vacancy title:
Assistant Manager, Balance Sheet Management
[Type: FULL_TIME, Industry: Banking, Category: Accounting & Finance]
Jobs at:
SBM Bank
Deadline of this Job:
Thursday, July 31 2025
Duty Station:
Nairobi | Nairobi | Kenya
Summary
Date Posted: Thursday, July 17 2025, Base Salary: Not Disclosed
Similar Jobs in Kenya
Learn more about SBM Bank
SBM Bank jobs in Kenya
JOB DETAILS:
Job Purpose:
The position will generate treasury revenue from asset & liability management processes through strategic positioning of assets and liabilities whilst effectively managing liquidity and interest rate risks
Key Responsibilities
- Maximize in investment of excess cash and trading of Government Securities for the bank
- Assist in cash flow forecasting process for the group as part of liquidity management and carry out liquidity scenario analysis.
- Ensure Asset Liability Management (ALM) strategies are executed and monitored for optimal revenue
- Provide Asset Liability Committee (ALCO) with investments proposals and substantive documents on market trends touching on interest rates.
- Ensure that all types of liquidity risks within the bank are captured and appropriately managed ensuring that the bank meets regulatory liquidity requirements.
- Understand business lending pipelines and provide appropriate funding solutions at optimal pricing.
- Add value to the Funds Transfer Pricing process and advice transfer rates to various stakeholders on monthly basis or otherwise as per policy.
- Assist Market Risk in the planning of ALCO meetings focusing on strategic ALM concerns.
- Manage efficiency and profitability of liquid asset portfolio, advising on yields and amounts.
- Monitor market conditions and explore hedging opportunities for the various books and prepare the investment and divestment proposals
- Advice on liability planning, pricing, and market trends
- The role will be a proxy to the Forex (FX) and Money market Desks
Customers of this Position
- All Departments in the Bank
Knowledge; Skills and Experience required for this Role
- Business graduate from an accredited University with a Finance, Mathematics or Economics Major
- Comprehensive understanding of Money Market, FX market, Fixed Income and assets and liabilities of a bank.
- Good understanding of dynamics of financial markets and local / regional regulatory environment.
- MBA in Finance or CFA would be an added advantage
Competencies required for this Role
- Dynamic, analytical and self-driven individual with the ability to work under pressure.
- A passion for performance, team play and achievement in a competitive and dynamic environment
- Hardworking, strategically minded individual with excellent communication, analytical and interpersonal skills.
- Thorough understanding of the Money markets/Forex procedures and practice and the ability to interact with all levels of management and staff
- Must have initiative to learn beyond scope of duty.
Funds management
- Source funding for Bank’s cash position, when required
- Ensure that we have sufficient assets to cover our liquid asset requirement
- Ensure Knowledge of ALM and at least attend one ALCO meeting a quarter
- Ensure knowledge of local regulatory pertaining to treasury and compliance of the same
- Provide backup for the Money Market Dealer and FX dealer.
Accountability
- Delegated Authority;
- Management of the Bank’s Assets and Liabilities
Work Hours: 8
Experience: No Requirements
Level of Education: bachelor degree
Job application procedure
Interested and qualified? Click here to apply
All Jobs | QUICK ALERT SUBSCRIPTION