582 Banking Manager jobs in Kenya
Trade Finance Consultant
Posted today
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Company Description
Silicon Valley Global PH Inc. is an AI-driven, tech-focused financial engineering firm that specializes in advanced investment management and project funding solutions. Our goal is to help businesses achieve sustainable growth by creating transformative financial strategies through technology.
Role Description
This is a contract remote role for a Trade Finance Consultant will play a crucial role in facilitating international trade by providing financial solutions and managing client relationships. The Trade Finance Consultant will be responsible for managing trade finance transactions, develop strategies and utilize analytical skills for finance and trading activities, and overseeing trade finance operations.
Key Roles:
Client Relationship Management:
Develop and maintain strong relationships with clients, understanding their trade finance needs.
Advise and structure bank instruments such as Letters of Credit (LCs), Standby Letters of Credit (SBLCs), and Bank Guarantees.
Ensure high levels of customer satisfaction and retention.
Leadership:
Set performance goals, conduct regular reviews, and provide feedback to ensure targets are met.
Foster a collaborative and supportive team environment.
Financial Solution Structuring:
Assess clients' trade finance requirements and structure appropriate financial solutions.
Collaborate with internal departments to ensure seamless delivery of services.
Stay updated on trade finance regulations and compliance requirements.
Business Development:
Identify and pursue new business opportunities in the trade finance sector.
Develop and implement strategies to attract and retain clients.
Network with industry stakeholders and participate in relevant trade finance events.
Risk Management:
Evaluate and manage the risks associated with trade finance transactions.
Ensure compliance with regulatory standards and internal policies.
Implement risk mitigation strategies to protect the interests of both the client and the financial institution.
Market Analysis and Strategy:
Analyze market trends and competitive landscape to identify opportunities for growth.
Develop and execute strategic plans to enhance the trade finance offering.
Report on market conditions and provide insights to senior management.
Qualifications
- Experience in Letters of Credit management and Trade Finance
- Strong Analytical Skills for finance and trading activities
- Knowledge of Finance principles
- Ability to manage trade finance operations effectively
- Excellent communication and interpersonal skills
- Bachelor's degree in Finance, Business, or related field,
- Masters Degree in Finance, Business, or related field is a plus
What we Offer:
- Opportunities for professional growth
- A dynamic and supportive work environment
How to Apply
- Send your CV and cover letter to with the Subject line "Trade Finance Manager"
Lead Remote Investment Portfolio Manager (Banking & Finance)
Posted 14 days ago
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Job Description
Key Responsibilities:
- Develop, implement, and manage sophisticated investment strategies aligned with client objectives and market conditions.
- Conduct thorough fundamental and technical analysis of securities, industries, and macroeconomic trends.
- Construct and rebalance investment portfolios to achieve target returns while managing risk tolerance.
- Monitor portfolio performance, identify deviations, and implement corrective actions.
- Research and recommend investment opportunities across various asset classes, including equities, fixed income, and alternative investments.
- Manage client relationships, provide regular performance updates, and articulate investment rationale.
- Ensure compliance with all relevant financial regulations and internal policies.
- Collaborate with research analysts, traders, and other financial professionals in a remote setting.
- Utilize advanced financial modeling and analytical tools to support investment decisions.
- Stay informed about global financial markets, geopolitical events, and regulatory changes.
Qualifications:
- Master's degree in Finance, Economics, Business Administration, or a related quantitative field.
- Minimum of 10 years of progressive experience in investment management, portfolio management, or financial analysis.
- Professional certifications such as CFA (Chartered Financial Analyst) are highly preferred.
- Proven track record of successfully managing investment portfolios and achieving superior risk-adjusted returns.
- Deep understanding of financial markets, investment strategies, and asset allocation principles.
- Expertise in financial modeling, valuation techniques, and risk management.
- Proficiency with financial data platforms (e.g., Bloomberg Terminal, Refinitiv Eikon) and portfolio management software.
- Exceptional analytical, quantitative, and problem-solving skills.
- Outstanding communication, presentation, and interpersonal skills, with the ability to build trust remotely.
- Ability to work independently, manage time effectively, and make sound decisions under pressure.
Job Description
Responsibilities:
- Assist the Branch Manager in the day-to-day operations of the bank branch.
- Supervise, train, and motivate branch staff to achieve individual and team goals.
- Provide exceptional customer service, addressing customer inquiries and resolving issues promptly and effectively.
- Oversee teller operations, account opening, loan processing, and other banking transactions.
- Ensure compliance with all banking regulations, policies, and procedures.
- Drive sales of banking products and services, meeting branch targets for loans, deposits, and new accounts.
- Conduct regular audits of branch operations to identify and mitigate risks.
- Assist in managing branch security and cash handling procedures.
- Develop and maintain strong relationships with customers to foster loyalty and identify cross-selling opportunities.
- Support the Branch Manager in implementing marketing and community outreach initiatives.
- Handle complex customer transactions and account management issues.
- Contribute to creating a positive and professional work environment within the branch.
- Bachelor's degree in Business Administration, Finance, Economics, or a related field.
- Minimum of 3-5 years of experience in retail banking, with at least 1-2 years in a supervisory or leadership role.
- Thorough knowledge of banking products, services, and regulatory requirements.
- Excellent customer service and interpersonal skills.
- Strong sales and business development acumen.
- Demonstrated leadership and team management abilities.
- Proficiency in banking software and systems.
- Excellent problem-solving and decision-making skills.
- High level of integrity and ethical conduct.
- Strong organizational and time management skills.
- Ability to work effectively in a fast-paced branch environment.
Associate | Banking and Finance | Kenya
Posted today
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Job Description
An opportunity has become available for an
Associate
to join the
Banking and Finance
team in our
Nairobi
office. This is an excellent opportunity to join a leading law team offering a dynamic work environment and exposure to diverse matters and clients.
OVERVIEW
The individual will be afforded an opportunity to utilise his/her knowledge and experience to advise on and assist clients in executing financing transactions.
KEY RESPONSIBILITIES
• Drafting, reviewing and amending documentation;
• Providing guidance to clients based on market awareness and an understanding of key objectives;
• Managing client expectations, deadlines and project delivery appropriately;
• Collaborating across teams, departments and jurisdictions in a fast paced, intellectually rigorous environment;
• Leadership and supervision of junior team members (as appropriate);
• Recognising opportunities for business development, assistance with and implementation of group and firm-wide business development strategies;
• Proactive engagement with clients both on and off deal with a view towards building and maintaining strong client relationships;
• Assisting with billing activities and timely invoicing;
• Provide transactional / banking and finance advice and assistance to the stakeholders involved, borrowers and lenders, lessees and lessors etc;
• Advise on applicable legal requirements;
• Conducting legal due diligences;
• Managing and implementing the firm's internal policies and procedures;
• Providing leadership, supervision, training and development.
KEY REQUIREMENTS
The candidate should be an attorney admitted to practise in Kenya. In addition thereto, the candidate should possess the following:
• At least two years' PQE in a Banking and Finance department in law practice;
• Resilient self-starter with the intellectual curiosity and versatility to continuously acquire, build upon and share knowledge;
• Evidence of a keen interest in and knowledge of applicable legal frameworks;
• Highly motivated team player with excellent organisational skills;
• Clear and concise verbal and written communicator with outstanding interpersonal skills and a good eye for detail;
• Entrepreneurial drive;
• An interest in commerce / business;
• A person of sound judgement and core values, able to establish a high level of credibility.
This is a demanding but stimulating position which will require working outside of normal office hours, when necessary. It is also essential that the candidate demonstrates the ability to understand the needs of clients and to communicate effectively with them, as well as to manage client relations and practice management, in general.
The closing date for all applications is the close of business
04 September 2025
.
Lead Quantitative Analyst - Banking & Finance
Posted 19 days ago
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Job Description
Responsibilities:
- Develop, implement, and validate sophisticated quantitative models for financial risk management, pricing, and trading strategies.
- Conduct in-depth statistical analysis and build predictive models using advanced techniques and machine learning.
- Collaborate with trading desks, risk management, and business units to understand their needs and deliver quantitative solutions.
- Design and perform back-testing and stress-testing of financial models.
- Communicate complex analytical findings and model behavior to stakeholders through clear reports and presentations.
- Ensure model compliance with regulatory standards and internal policies.
- Mentor and guide junior quantitative analysts.
- Stay abreast of the latest developments in quantitative finance, data science, and financial markets.
- Master's or Ph.D. in a quantitative field such as Finance, Mathematics, Statistics, Physics, or Computer Science.
- 5+ years of experience in quantitative finance, financial modeling, or risk management.
- Proven expertise in financial instruments, derivatives pricing, and risk management techniques.
- Strong programming skills in Python, R, C++, or similar languages.
- Experience with machine learning algorithms and statistical modeling software.
- Excellent analytical, problem-solving, and communication abilities.
- Ability to work independently and manage projects effectively in a remote setting.
Senior Quantitative Analyst (Banking & Finance)
Posted 2 days ago
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Job Description
Responsibilities:
- Develop, test, and deploy sophisticated quantitative models for pricing derivatives, valuing complex financial instruments, and managing market risk.
- Perform rigorous statistical analysis on large datasets to identify market trends, predict asset behavior, and inform trading strategies.
- Validate existing models and methodologies to ensure accuracy, robustness, and compliance with regulatory requirements.
- Collaborate with front-office teams (traders, portfolio managers) to understand their needs and provide quantitative solutions.
- Work closely with risk management and compliance departments to ensure models meet regulatory standards (e.g., Basel, Dodd-Frank).
- Develop and maintain high-quality code in languages such as Python, R, or C++ for model implementation and data analysis.
- Communicate complex quantitative concepts and findings clearly to both technical and non-technical audiences.
- Contribute to the firm's research and development efforts in quantitative finance.
- Stay abreast of the latest academic research and industry best practices in quantitative finance.
- Mentor junior quantitative analysts and contribute to the growth of the team's technical capabilities.
- Master's or Ph.D. in a quantitative field such as Financial Engineering, Mathematics, Physics, Statistics, or Computer Science.
- A minimum of 6 years of experience in quantitative finance, with a strong focus on model development and implementation.
- Expertise in at least one major programming language (e.g., Python, R, C++) and familiarity with data manipulation libraries.
- Deep understanding of stochastic calculus, time series analysis, and statistical modeling techniques.
- Experience with financial derivatives pricing, risk management, and portfolio optimization.
- Proven ability to work independently and as part of a remote team, managing multiple projects simultaneously.
- Excellent analytical, problem-solving, and critical thinking skills.
- Strong written and verbal communication skills, with the ability to explain complex concepts effectively.
- Familiarity with regulatory frameworks governing financial institutions.
- Experience with machine learning techniques applied to finance is a plus.
Senior Investment Analyst - Banking & Finance
Posted 17 days ago
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Job Description
Responsibilities:
- Conduct in-depth research and analysis of investment opportunities across various markets.
- Develop and maintain complex financial models and valuation analyses.
- Perform due diligence on potential investments and assess associated risks.
- Monitor market trends, economic indicators, and geopolitical events.
- Prepare detailed investment reports, presentations, and performance reviews.
- Provide data-driven recommendations to portfolio managers and investment committees.
- Contribute to the formulation and refinement of investment strategies.
- Mentor and guide junior investment analysts.
- Ensure compliance with regulatory requirements and internal policies.
- Stay abreast of the latest developments in financial markets and investment management.
- Master's degree in Finance, Economics, Mathematics, or a related quantitative field.
- CFA charter holder or candidate strongly preferred.
- Minimum of 5 years of progressive experience in investment analysis, portfolio management, or equity research.
- Proven expertise in financial modeling, valuation techniques, and quantitative analysis.
- Deep understanding of capital markets, financial instruments, and economic principles.
- Excellent analytical, critical thinking, and problem-solving skills.
- Proficiency in financial data terminals (e.g., Bloomberg, Refinitiv) and analytical software.
- Strong written and verbal communication skills for reporting and presentation.
- Ability to work independently and manage priorities effectively in a remote setting.
- Demonstrated ability to collaborate within a team environment.
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Remote Lead Banking & Finance Analyst
Posted 18 days ago
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Lead Quantitative Analyst - Banking & Finance (Remote)
Posted 2 days ago
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