Treasury Operations Analyst job at Tabono Consult
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Treasury Operations Analyst
2026-09-17T18:12:58+00:00
Tabono Consult
https://cdn.greattanzaniajobs.com/jsjobsdata/data/employer/comp_4038/logo/Tabono%20Consult.jpg
FULL_TIME
Dar es Salaam
Dar es Salaam
00000
Tanzania
Consulting
Accounting & Finance,Business Operations
TZS
MONTH
2026-09-29T17:00:00+00:00
8

Role Overview

On behalf of our client a leading Pan-African digital payments and fintech provider powering seamless, secure transactions for businesses, financial institutions, and global brands across the continent. Tabono Consult is seeking a skilled and detail-oriented Treasury Operations Analyst.

In this role, you will support daily settlement operations across platforms, manage cash positioning, execute foreign exchange transactions, and maintain banking relationships to ensure fluid financial operations.

Key Responsibilities

  • Settlement & Liquidation Management: Oversee daily group settlement and reconciliation processes, ensuring manual settlements, alternative payment methods, mobile money, and aggregator liquidations are accurately processed on time with correct bank charge deductions.
  • Cash Positioning & Forecasting: Monitor and update daily cash position files, analyze liquidity needs, and prepare forward-looking cash flow forecasting reports to guide financial planning and control risk.
  • FX & Banking Operations: Execute foreign exchange transactions to minimize currency exposure, act as the primary liaison with banking partners to resolve operational issues, and ensure bank mandates comply with internal and regional regulatory standards.
  • Process Automation & Controls: Participate in treasury system automation projects, maintain strict compliance with financial policies, and implement risk mitigation strategies to enhance treasury controls.

Key Qualifications & Requirements

  • Bachelor’s degree in Commerce, Economics, Finance, or a related business field
  • A Certified Treasury Professional (CTP) qualification is a strong added advantage.
  • Minimum 5 years of dedicated experience in a treasury department, preferably within the payments, fintech, or commercial banking sectors.
  • Strong practical knowledge of diverse payment systems, mobile money platforms, back-office operations, and advanced proficiency in Microsoft Excel.
  • Highly analytical with excellent time management, clear communication abilities, high integrity, and the capacity to thrive in a fast-paced, high-pressure environment.
  • Settlement & Liquidation Management: Oversee daily group settlement and reconciliation processes, ensuring manual settlements, alternative payment methods, mobile money, and aggregator liquidations are accurately processed on time with correct bank charge deductions.
  • Cash Positioning & Forecasting: Monitor and update daily cash position files, analyze liquidity needs, and prepare forward-looking cash flow forecasting reports to guide financial planning and control risk.
  • FX & Banking Operations: Execute foreign exchange transactions to minimize currency exposure, act as the primary liaison with banking partners to resolve operational issues, and ensure bank mandates comply with internal and regional regulatory standards.
  • Process Automation & Controls: Participate in treasury system automation projects, maintain strict compliance with financial policies, and implement risk mitigation strategies to enhance treasury controls.
  • Advanced proficiency in Microsoft Excel
  • Strong practical knowledge of diverse payment systems, mobile money platforms, back-office operations
  • Highly analytical
  • Excellent time management
  • Clear communication abilities
  • High integrity
  • Capacity to thrive in a fast-paced, high-pressure environment
  • Bachelor’s degree in Commerce, Economics, Finance, or a related business field
  • A Certified Treasury Professional (CTP) qualification is a strong added advantage.
bachelor degree
60
JOB-6aac2daaf1909

Vacancy title:
Treasury Operations Analyst

[Type: FULL_TIME, Industry: Consulting, Category: Accounting & Finance,Business Operations]

Jobs at:
Tabono Consult

Deadline of this Job:
Tuesday, September 29 2026

Duty Station:
Dar es Salaam | Dar es Salaam

Summary
Date Posted: Thursday, September 17 2026, Base Salary: Not Disclosed

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JOB DETAILS:

Role Overview

On behalf of our client a leading Pan-African digital payments and fintech provider powering seamless, secure transactions for businesses, financial institutions, and global brands across the continent. Tabono Consult is seeking a skilled and detail-oriented Treasury Operations Analyst.

In this role, you will support daily settlement operations across platforms, manage cash positioning, execute foreign exchange transactions, and maintain banking relationships to ensure fluid financial operations.

Key Responsibilities

  • Settlement & Liquidation Management: Oversee daily group settlement and reconciliation processes, ensuring manual settlements, alternative payment methods, mobile money, and aggregator liquidations are accurately processed on time with correct bank charge deductions.
  • Cash Positioning & Forecasting: Monitor and update daily cash position files, analyze liquidity needs, and prepare forward-looking cash flow forecasting reports to guide financial planning and control risk.
  • FX & Banking Operations: Execute foreign exchange transactions to minimize currency exposure, act as the primary liaison with banking partners to resolve operational issues, and ensure bank mandates comply with internal and regional regulatory standards.
  • Process Automation & Controls: Participate in treasury system automation projects, maintain strict compliance with financial policies, and implement risk mitigation strategies to enhance treasury controls.

Key Qualifications & Requirements

  • Bachelor’s degree in Commerce, Economics, Finance, or a related business field
  • A Certified Treasury Professional (CTP) qualification is a strong added advantage.
  • Minimum 5 years of dedicated experience in a treasury department, preferably within the payments, fintech, or commercial banking sectors.
  • Strong practical knowledge of diverse payment systems, mobile money platforms, back-office operations, and advanced proficiency in Microsoft Excel.
  • Highly analytical with excellent time management, clear communication abilities, high integrity, and the capacity to thrive in a fast-paced, high-pressure environment.

Work Hours: 8

Experience in Months: 60

Level of Education: bachelor degree

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Job Info
Job Category: Accounting/ Finance jobs in Tanzania
Job Type: Full-time
Deadline of this Job: Tuesday, September 29 2026
Duty Station: Dar es Salaam | Dar es Salaam
Posted: 17-09-2026
No of Jobs: 1
Start Publishing: 17-09-2026
Stop Publishing (Put date of 2030): 10-10-2076
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