Key Responsibilities
Responsible for daily routine activities including approval of daily operational transactions such as loans, advances, account opening, intra and inter account transfers, mobile banking/pin resets, dormancy activation, member changes and ATM linking, account closures, readmissions and any other operational activities at that level
Supervises the opening and closure of branch ensuring availability of guards and armed security
Implements the branch strategic activities as defined in the business plan (income and expenditure, growth and PAR management)
Keeping custody and Monitoring of liquidity levels, cash flows and replenishment where necessary to the treasury, cashiers and petty cash
Conducting periodic checks through cash counts for tellers, mpesa, Petty cash an treasury
Qualifications
Bachelor's degree in business related course (finance, accounting, banking option)
Professional Qualifications / Membership to professional bodies CPA (K)
Previous relevant work experience required.
5 years of relevant experience in branch accounting and financial roles.