Treasury Manager job at PesaPal
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Treasury Manager
2026-07-23T05:45:12+00:00
PesaPal
https://cdn.greatkenyanjobs.com/jsjobsdata/data/employer/comp_5997/logo/PESAPAL.png
FULL_TIME
Nairobi
Nairobi
00100
Kenya
Consulting
Management, Accounting & Finance, Business Operations
KES
MONTH
2026-07-30T17:00:00+00:00
8

Background

Pesapal provides a simple, safe and secure way for individuals and businesses to make and accept payments in Africa. Pesapal payments work on the internet and directly on the handset.

Job Summary

Pesapal is looking for an experienced and commercially minded Treasury Manager to lead the company's treasury operations across multiple markets.

Reporting to the Chief Financial Officer, the Treasury Manager will be responsible for managing liquidity, safeguarding customer funds, optimizing cash utilization, overseeing settlement funding, maintaining strategic banking relationships, and ensuring robust treasury controls in a high-volume digital payments environment.

The successful candidate will play a critical role in ensuring seamless payment operations, minimizing financial risk, and supporting the continued growth of Pesapal's payments ecosystem.

What Success Looks Like at Pesapal

Solve for our Customer

Ensure merchants and partners receive timely settlements by maintaining optimal liquidity and efficient treasury operations that support an exceptional customer experience.

Deliver Exceptional Results

Maintain strong liquidity, optimize working capital, improve cash utilization, and deliver operational excellence across treasury and settlement activities.

Together We Do Great Work

Collaborate closely with Finance, Settlement Operations, Engineering, Product, Banking Partners, and other stakeholders to deliver secure and efficient payment infrastructure.

Own our Outcomes

Take ownership of treasury performance by proactively managing liquidity, mitigating financial risks, strengthening controls, and driving continuous process improvements.

Key Responsibilities:

Liquidity & Cash Flow Management

Monitor daily cash positions across bank accounts, wallets, and settlement accounts.

Develop accurate short and medium-term cash flow forecasts.

Optimize idle cash balances while maintaining sufficient liquidity for operational requirements.

Ensure adequate funding for daily settlement obligations across all operating markets.

Recommend short-term investment opportunities aligned with the company's treasury policy.

Banking & Treasury Operations

Manage relationships with banks, payment networks, and other financial partners.

Oversee bank account administration, mandates, and treasury documentation.

Ensure compliance with approved banking mandates and treasury policies.

Review bank reconciliations across all markets and ensure timely resolution of outstanding items.

Identify opportunities to improve treasury efficiency and reduce banking costs.

Settlement Funding Management

Ensure adequate funding for merchant settlements, card scheme obligations, and partner payments.

Safeguard customer funds in compliance with regulatory requirements.

Monitor settlement reconciliations across all operating markets.

Drive continuous improvements in settlement funding processes and payment infrastructure.

Partner with Settlement Operations to ensure timely and accurate merchant settlements.

Treasury Risk, Controls & Compliance

Manage liquidity, foreign exchange, settlement, and counterparty risks.

Develop and enforce treasury policies, procedures, and internal controls.

Ensure compliance with regulatory requirements, audit standards, and internal governance frameworks.

Support internal and external audits relating to treasury operations.

Monitor financial exposures and recommend appropriate mitigation strategies.

Financial Reporting & Analysis

Prepare treasury reports, liquidity reports, and cash flow analysis for executive leadership.

Ensure accurate accounting and reporting of treasury transactions.

Review treasury balances, cash equivalents, and foreign currency positions.

Support monthly financial close activities and management reporting.

Provide financial insights to support strategic decision-making.

Team Management

Lead, coach, and develop the Treasury team.

Establish departmental KPIs and performance objectives.

Foster a culture of accountability, collaboration, and continuous improvement.

Drive automation and process optimization across treasury operations.

Education/Experience Needed:

Bachelor's degree in finance, Accounting, Economics, or a related field.

CPA(K), ACCA, or an equivalent professional accounting qualification is required.

A Treasury qualification such as Certified Treasury Professional (CTP) is an added advantage.

Minimum of 7 years' experience in Treasury, Cash Management, Corporate Finance, or Financial Operations.

Experience within fintech, banking, payment services, or financial services is highly preferred.

Experience managing treasury operations across multiple markets is an advantage.

Strong understanding of payment ecosystems, settlement processes, and banking operations.

Skills & Competencies Needed

Strong treasury and liquidity management expertise.

Excellent financial analysis and cash forecasting skills.

Sound understanding of treasury controls and financial risk management.

Knowledge of payment systems, settlement operations, and banking infrastructure.

Strong leadership and stakeholder management skills.

Excellent negotiation and relationship management capabilities.

High attention to detail and analytical thinking.

Strong communication and presentation skills.

Proficiency in ERP systems, Microsoft Excel, and treasury management tools.

High integrity and commitment to financial governance.

  • Monitor daily cash positions across bank accounts, wallets, and settlement accounts.
  • Develop accurate short and medium-term cash flow forecasts.
  • Optimize idle cash balances while maintaining sufficient liquidity for operational requirements.
  • Ensure adequate funding for daily settlement obligations across all operating markets.
  • Recommend short-term investment opportunities aligned with the company's treasury policy.
  • Manage relationships with banks, payment networks, and other financial partners.
  • Oversee bank account administration, mandates, and treasury documentation.
  • Ensure compliance with approved banking mandates and treasury policies.
  • Review bank reconciliations across all markets and ensure timely resolution of outstanding items.
  • Identify opportunities to improve treasury efficiency and reduce banking costs.
  • Ensure adequate funding for merchant settlements, card scheme obligations, and partner payments.
  • Safeguard customer funds in compliance with regulatory requirements.
  • Monitor settlement reconciliations across all operating markets.
  • Drive continuous improvements in settlement funding processes and payment infrastructure.
  • Partner with Settlement Operations to ensure timely and accurate merchant settlements.
  • Manage liquidity, foreign exchange, settlement, and counterparty risks.
  • Develop and enforce treasury policies, procedures, and internal controls.
  • Ensure compliance with regulatory requirements, audit standards, and internal governance frameworks.
  • Support internal and external audits relating to treasury operations.
  • Monitor financial exposures and recommend appropriate mitigation strategies.
  • Prepare treasury reports, liquidity reports, and cash flow analysis for executive leadership.
  • Ensure accurate accounting and reporting of treasury transactions.
  • Review treasury balances, cash equivalents, and foreign currency positions.
  • Support monthly financial close activities and management reporting.
  • Provide financial insights to support strategic decision-making.
  • Lead, coach, and develop the Treasury team.
  • Establish departmental KPIs and performance objectives.
  • Foster a culture of accountability, collaboration, and continuous improvement.
  • Drive automation and process optimization across treasury operations.
  • Strong treasury and liquidity management expertise.
  • Excellent financial analysis and cash forecasting skills.
  • Sound understanding of treasury controls and financial risk management.
  • Knowledge of payment systems, settlement operations, and banking infrastructure.
  • Strong leadership and stakeholder management skills.
  • Excellent negotiation and relationship management capabilities.
  • High attention to detail and analytical thinking.
  • Strong communication and presentation skills.
  • Proficiency in ERP systems, Microsoft Excel, and treasury management tools.
  • High integrity and commitment to financial governance.
  • Bachelor's degree in finance, Accounting, Economics, or a related field.
  • CPA(K), ACCA, or an equivalent professional accounting qualification is required.
  • A Treasury qualification such as Certified Treasury Professional (CTP) is an added advantage.
bachelor degree
12
JOB-6a61aa68aae3a

Vacancy title:
Treasury Manager

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

Jobs at:
PesaPal

Deadline of this Job:
Thursday, July 30 2026

Duty Station:
Nairobi | Nairobi

Summary
Date Posted: Thursday, July 23 2026, Base Salary: Not Disclosed

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JOB DETAILS:

Background

Pesapal provides a simple, safe and secure way for individuals and businesses to make and accept payments in Africa. Pesapal payments work on the internet and directly on the handset.

Job Summary

Pesapal is looking for an experienced and commercially minded Treasury Manager to lead the company's treasury operations across multiple markets.

Reporting to the Chief Financial Officer, the Treasury Manager will be responsible for managing liquidity, safeguarding customer funds, optimizing cash utilization, overseeing settlement funding, maintaining strategic banking relationships, and ensuring robust treasury controls in a high-volume digital payments environment.

The successful candidate will play a critical role in ensuring seamless payment operations, minimizing financial risk, and supporting the continued growth of Pesapal's payments ecosystem.

What Success Looks Like at Pesapal

Solve for our Customer

Ensure merchants and partners receive timely settlements by maintaining optimal liquidity and efficient treasury operations that support an exceptional customer experience.

Deliver Exceptional Results

Maintain strong liquidity, optimize working capital, improve cash utilization, and deliver operational excellence across treasury and settlement activities.

Together We Do Great Work

Collaborate closely with Finance, Settlement Operations, Engineering, Product, Banking Partners, and other stakeholders to deliver secure and efficient payment infrastructure.

Own our Outcomes

Take ownership of treasury performance by proactively managing liquidity, mitigating financial risks, strengthening controls, and driving continuous process improvements.

Key Responsibilities:

Liquidity & Cash Flow Management

Monitor daily cash positions across bank accounts, wallets, and settlement accounts.

Develop accurate short and medium-term cash flow forecasts.

Optimize idle cash balances while maintaining sufficient liquidity for operational requirements.

Ensure adequate funding for daily settlement obligations across all operating markets.

Recommend short-term investment opportunities aligned with the company's treasury policy.

Banking & Treasury Operations

Manage relationships with banks, payment networks, and other financial partners.

Oversee bank account administration, mandates, and treasury documentation.

Ensure compliance with approved banking mandates and treasury policies.

Review bank reconciliations across all markets and ensure timely resolution of outstanding items.

Identify opportunities to improve treasury efficiency and reduce banking costs.

Settlement Funding Management

Ensure adequate funding for merchant settlements, card scheme obligations, and partner payments.

Safeguard customer funds in compliance with regulatory requirements.

Monitor settlement reconciliations across all operating markets.

Drive continuous improvements in settlement funding processes and payment infrastructure.

Partner with Settlement Operations to ensure timely and accurate merchant settlements.

Treasury Risk, Controls & Compliance

Manage liquidity, foreign exchange, settlement, and counterparty risks.

Develop and enforce treasury policies, procedures, and internal controls.

Ensure compliance with regulatory requirements, audit standards, and internal governance frameworks.

Support internal and external audits relating to treasury operations.

Monitor financial exposures and recommend appropriate mitigation strategies.

Financial Reporting & Analysis

Prepare treasury reports, liquidity reports, and cash flow analysis for executive leadership.

Ensure accurate accounting and reporting of treasury transactions.

Review treasury balances, cash equivalents, and foreign currency positions.

Support monthly financial close activities and management reporting.

Provide financial insights to support strategic decision-making.

Team Management

Lead, coach, and develop the Treasury team.

Establish departmental KPIs and performance objectives.

Foster a culture of accountability, collaboration, and continuous improvement.

Drive automation and process optimization across treasury operations.

Education/Experience Needed:

Bachelor's degree in finance, Accounting, Economics, or a related field.

CPA(K), ACCA, or an equivalent professional accounting qualification is required.

A Treasury qualification such as Certified Treasury Professional (CTP) is an added advantage.

Minimum of 7 years' experience in Treasury, Cash Management, Corporate Finance, or Financial Operations.

Experience within fintech, banking, payment services, or financial services is highly preferred.

Experience managing treasury operations across multiple markets is an advantage.

Strong understanding of payment ecosystems, settlement processes, and banking operations.

Skills & Competencies Needed

Strong treasury and liquidity management expertise.

Excellent financial analysis and cash forecasting skills.

Sound understanding of treasury controls and financial risk management.

Knowledge of payment systems, settlement operations, and banking infrastructure.

Strong leadership and stakeholder management skills.

Excellent negotiation and relationship management capabilities.

High attention to detail and analytical thinking.

Strong communication and presentation skills.

Proficiency in ERP systems, Microsoft Excel, and treasury management tools.

High integrity and commitment to financial governance.

Work Hours: 8

Experience in Months: 12

Level of Education: bachelor degree

Job application procedure

Application Link:Click Here to Apply Now

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Job Info
Job Category: Management jobs in Kenya
Job Type: Full-time
Deadline of this Job: Thursday, July 30 2026
Duty Station: Nairobi | Nairobi
Posted: 23-07-2026
No of Jobs: 1
Start Publishing: 23-07-2026
Stop Publishing (Put date of 2030): 10-10-2076
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