EthSwitch Vacancy

EthSwitch
EthSwitch is the National Switch owned by all banks( private and public) operating in Ethiopia, the National Bank of Ethiopia, MFIs, PIIs, and PSOs. EthSwitch is a pioneering National Switch leading the charge in transforming Ethiopia’s financial landscape. Harnessing state- of- the- art technology, we develop groundbreaking solutions that empower both businesses and individualities to exceed in the digital economy. EthSwitch represents forward- thinking fiscal services, seamlessly blending innovation, integrity, and excellence to deliver solutions to our recognized clients. At EthSwitch, we're committed to adopting a work environment that nurtures creativity, fosters collaboration, and prioritizes employee well- being. We firmly believe that a positive workplace culture is abecedarian to achieving both particular and organizational success.
Position: Clearing and Reconciliation Officer
Requirements
- Bachelor’s degree in Accounting, Economics, Management, or related fields.
- Strong logical skills and attention to detail.
- Proficiency in fiscal software and Microsoft Office Suite.
- Excellent communication and interpersonal skills.
- Ability to work independently and as part of a team.
- previous experience in a analogous role is a plus.
Duties and responsibilities
- Conduct diurnal end- of- day settlement processes to ensure compliance with system rules and regulations.
- Generate NSIs for immediate and coming- day settlements based on transaction types, ensuring accuracy and timeliness.
- Prepare switching fee reports for the internal finance division, furnishing detailed analysis and insights.
- Perform regular reconciliations of accounts to ensure accuracy and resolve any discrepancies promptly.
- Ensure all transactions comply with internal programs and external regulations.
- Maintain accurate records of all transactions and settlements, ensuring they're easily accessible for audits and reviews.
- Liaise with internal and external stakeholders to resolve any issues related to settlements and reconciliations.
- Identify opportunities for process improvements and implement changes to enhance efficiency and accuracy.