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Head of Treasury Job

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The Head of Treasury will own the end-to-end treasury function across all markets, ensuring optimal liquidity, capital efficiency, FX execution, and settlement integrity across the multi-country payment infrastructure.

This is a strategic and operational leadership role responsible for designing and running the treasury architecture that enables the business to scale across markets. The role goes beyond cash management — it includes liquidity strategy, FX execution (including OTC), banking infrastructure, and capital optimization.

The ideal candidate has deep experience in fintech, payments, or banking treasury environments, with strong exposure to multi-currency, multi-market liquidity systems and high-volume transactional flows.

Treasury Strategy & Capital Efficiency

  • Define and own overall treasury strategy across all markets
  • Optimize capital allocation, liquidity efficiency, and float utilization
  • Ensure efficient deployment of funds across wallets, banks, and partner rails
  • Drive improvements in cash velocity and working capital efficiency
  • Provide strategic input on business expansion from a liquidity perspective

 Liquidity & Float Management

  • Own real-time liquidity positioning across all currencies and markets
  • Design systems to ensure continuous liquidity availability across rails
  • Forecast liquidity requirements based on transaction volume and growth projections
  • Minimize idle cash while ensuring operational settlement readiness
  • Build dashboards for real-time liquidity visibility and decision-making

Treasury Operations & Settlements

  • Own all cross-border and domestic settlement flows
  • Ensure accurate, timely, and controlled disbursements and reconciliations
  • Design scalable settlement architecture across banks, PSPs, and mobile money operators
  • Reduce settlement failures through process design and operational controls
  • Ensure strong auditability and reconciliation integrity across all flows

FX, OTC & Liquidity Markets

  • Own FX strategy across all markets and currencies
  • Establish and manage an internal OTC desk for liquidity and currency conversion
  • Identify, onboard, and negotiate FX providers and liquidity partners
  • Execute and optimize buy/sell flows for fiat and stable coins where applicable
  • Manage FX exposure and implement hedging strategies
  • Optimize spread capture and FX execution efficiency

Banking, PSP & Partner Infrastructure

  • Own relationships with banks, PSPs, mobile money operators, and settlement partners
  • Negotiate float terms, fees, settlement cycles, and liquidity arrangements
  • Design and optimize multi-partner treasury infrastructure
  • Support onboarding of new financial partners from a treasury readiness perspective

Forecasting & Treasury Intelligence

  • Build short, medium, and long-term cash flow forecasts
  • Align treasury forecasts with business growth and transaction dynamics
  • Provide actionable insights on liquidity and capital planning
  • Track cash efficiency, FX performance, and settlement health

Controls, Risk & Governance

  • Establish treasury controls, policies, and governance frameworks
  • Ensure compliance with internal and regulatory requirements
  • Maintain audit-ready documentation
  • Embed strong controls across FX, settlements, and liquidity management

Systems & Automation

  • Drive automation of reconciliations, liquidity tracking, and reporting
  • Partner with engineering to build real-time treasury systems
  • Ensure data integrity and scalability of treasury platforms
  • Implement dashboards for executive decision-making

Leadership Scope

  • Build and lead the treasury function as the company scales
  • Define structure, processes, and eventually hire and manage a team
  • Act as the primary treasury authority across all markets
  • 7–12+ years experience in treasury, FX, liquidity, or banking operations
  • Strong background in fintech, payments, banking, or financial infrastructure
  • Experience managing multi-currency and multi-market treasury operations
  • Deep understanding of:
    • Liquidity management
    • FX markets and execution
    • Payment settlement systems
    • Banking and PSP infrastructure
  • Experience building or scaling treasury systems in high-volume environments
  • Strong analytical and financial modelling skills
  • Experience in African or emerging markets preferred

Preferred Qualifications

  • Experience running or participating in an OTC or FX trading function
  • Exposure to stable coin or digital asset liquidity management
  • Experience in high-growth fintech or cross-border payments companies
  • Strong automation or systems mindset (treasury tech stacks, APIs, dashboards)

Share CVS to cvs@bridgetalentgroup.com

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