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About this job

WE'RE HIRING
Treasury Manager
Department: Treasury
Reporting to: CEO/GM
Number of Positions: 01
Location: HQ- Dar es Salaam

Responsibilities:

Manage daily liquidity, cash flow, and statutory reserve requirements.
Conduct FX trading and manage Net Open Position (NOP).
Ensure compliance with IFEM regulations and market conduct standards.
Manage money market operations, interbank lending/borrowing, and investments.
Oversee government securities and approved investment instruments.
Support Asset and Liability Committee (ALCO) reporting and analysis.
Monitor interest rate risk, liquidity risk, and funding concentration risk.
Ensure segregation of duties (Front Office, Middle Office, Back Office).
Prepare timely treasury, ALCO, Board, and regulatory reports.
Ensure compliance with BOT regulations, AML/CFT, and internal policies.


Experience & Qualifications:

High integrity and professionalism.
Strong analytical and decision-making skills.
Leadership and risk management abilities.
Strong knowledge of IFEM and treasury operations.
Bachelor's Degree in Finance, Banking, Economics, or related field.
Master's Degree is an added advantage.
ACI Dealing Certificate (Mandatory).
5-7 years of banking experience in Treasury/Financial Markets.
At least 3 years in a managerial treasury role.
Strong knowledge of FX, liquidity management, and BOT regulations.


How to Apply:
Apply to: recruitment@icbank.co.tz
Deadline: 15.06.2026