Reconciliation Analyst
2026-01-02T10:05:20+00:00
KCB Bank
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FULL_TIME
Uganda
Kampala
00256
Uganda
Banking
Accounting & Finance,Business Operations
2026-01-13T17:00:00+00:00
8
KEY RESPONSIBILITIES:
- Review and reconcile all card, clearing, mobile and other assigned suspense accounts on a daily basis and ensure that suspense items do not exceed the established timeline designated for each type of exception.
- Check outstanding entries in card, Mobile and MTS accounts assigned and liaise with involved parties for action and ensure entries for cards, mobile and MTS transactions are accurately reconciled.
- Process card related settlements and ensure timely reversal of exceptions.
- Support branches in settlement and timely resolution of queries relating to acquired transactions on their ATMs.
- Prepare and submit reconciliations to the unit manager on a daily and weekly aging analysis returns for assigned accounts.
- Participate in the analysis and review of existing reconciliation processes/procedures/guidelines in order to assess the strength of the controls and identify areas for improvement.
- Actively participate in automation initiatives geared towards improving the control environment and overall reconciliation experience.
- Participate in timely presentation of end month reports and returns where applicable to Finance department.
- Participate in the identification, reporting and control of key risks within the Operations department.
MINIMUM POSITION QUALIFICATION REQUIREMENTS
a) Academic & Professional
Particulars
Detail
Specific Field or Qualification
Need Type
Education
Bachelor’s Degree
Business Administration/ equivalent, or any other degree with a quantitative/Mathematical bias.
Required
Professional Qualifications
Accounting
Master’s Degree
Business related
b) Experience
Minimum of 3 years in Banking Operations (General Banking and Reconciliations).
- Review and reconcile all card, clearing, mobile and other assigned suspense accounts on a daily basis and ensure that suspense items do not exceed the established timeline designated for each type of exception.
- Check outstanding entries in card, Mobile and MTS accounts assigned and liaise with involved parties for action and ensure entries for cards, mobile and MTS transactions are accurately reconciled.
- Process card related settlements and ensure timely reversal of exceptions.
- Support branches in settlement and timely resolution of queries relating to acquired transactions on their ATMs.
- Prepare and submit reconciliations to the unit manager on a daily and weekly aging analysis returns for assigned accounts.
- Participate in the analysis and review of existing reconciliation processes/procedures/guidelines in order to assess the strength of the controls and identify areas for improvement.
- Actively participate in automation initiatives geared towards improving the control environment and overall reconciliation experience.
- Participate in timely presentation of end month reports and returns where applicable to Finance department.
- Participate in the identification, reporting and control of key risks within the Operations department.
- Bachelor’s Degree in Business Administration/ equivalent, or any other degree with a quantitative/Mathematical bias.
- Professional Qualifications in Accounting (Added Advantage)
- Master’s Degree in Business related (Added Advantage)
JOB-695798606b5bf
Vacancy title:
Reconciliation Analyst
[Type: FULL_TIME, Industry: Banking, Category: Accounting & Finance,Business Operations]
Jobs at:
KCB Bank
Deadline of this Job:
Tuesday, January 13 2026
Duty Station:
Uganda | Kampala
Summary
Date Posted: Friday, January 2 2026, Base Salary: Not Disclosed
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JOB DETAILS:
KEY RESPONSIBILITIES:
- Review and reconcile all card, clearing, mobile and other assigned suspense accounts on a daily basis and ensure that suspense items do not exceed the established timeline designated for each type of exception.
- Check outstanding entries in card, Mobile and MTS accounts assigned and liaise with involved parties for action and ensure entries for cards, mobile and MTS transactions are accurately reconciled.
- Process card related settlements and ensure timely reversal of exceptions.
- Support branches in settlement and timely resolution of queries relating to acquired transactions on their ATMs.
- Prepare and submit reconciliations to the unit manager on a daily and weekly aging analysis returns for assigned accounts.
- Participate in the analysis and review of existing reconciliation processes/procedures/guidelines in order to assess the strength of the controls and identify areas for improvement.
- Actively participate in automation initiatives geared towards improving the control environment and overall reconciliation experience.
- Participate in timely presentation of end month reports and returns where applicable to Finance department.
- Participate in the identification, reporting and control of key risks within the Operations department.
MINIMUM POSITION QUALIFICATION REQUIREMENTS
a) Academic & Professional
Particulars
Detail
Specific Field or Qualification
Need Type
Education
Bachelor’s Degree
Business Administration/ equivalent, or any other degree with a quantitative/Mathematical bias.
Required
Professional Qualifications
Accounting
Master’s Degree
Business related
b) Experience
Minimum of 3 years in Banking Operations (General Banking and Reconciliations).
Work Hours: 8
Experience in Months: 36
Level of Education: bachelor degree
Job application procedure
Application Link: Click Here to Apply Now
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