Résumé du poste par JobGrid
Finance associate at NALA in Nairobi, Kenya is an on-site contract role. JobGrid presents the normalized role facts from the source, shows the source as last checked on 2026-06-06, and routes candidates to the original public application page with referral parameters. No salary was provided in the source.
- Title, company, location, workplace type, and employment type are clearly structured as Finance associate, NALA, Nairobi, Kenya, on-site, and contract.
- The source language is English, so the published copy stays aligned to the original-language posting boundary.
- Source freshness is captured with source posted at 2026-06-05 and last checked at 2026-06-06.
- The role is shown without adding unverified category, seniority, salary, or hiring-urgency claims.
👋 About Us
NALA is building Payments for the Next Billion. Faster, smarter, and fairer transfers for everyone. Since 2022, we've grown our business 120x, grown the team from 9 to 150+, raised $50M+ from top-tier investors, and were named to the Forbes Fintech 50 in 2025 & 2026.
We operate two core products:
- NALA, our consumer app makes cross-border payments cheaper, faster and more reliable for the global diaspora. Allowing users to send money from the UK, US and EU to Africa and Asia.
- Rafiki, our B2B payments infrastructure, is powering global payments.
Our team includes alumni from Wise, Stripe, Monzo, Revolut, and CashApp — operators who’ve scaled world-class products. We act with urgency, think deeply, and put our customers first always.
At NALA, this isn’t just a job. It’s ownership, impact, and the chance to change global payments forever.
Join us in building Payments for the Next Billion.
🙌 Your Mission
As a Finance Associate at NALA, you will play a crucial role in supporting the finance team with day to day operations and ensuring the smooth reconciliation processing.
🎯 Your Responsibilities in this Role
- Perform daily reconciliations between internal systems and partner accounts
- Investigate and resolve reconciliation discrepancies or issues escalating complex cases appropriately
- Ensure precise reconciliation records are kept and generate reports as needed.
- Collaborate with cross-functional teams including Treasury, Operations, and Compliance
- Perform verification & processing of provider invoices & charges
- Support the finance & data team on reconciliations automation project(s)
- Support process improvements to increase efficiency and accuracy in finance operations
- Other duties as assigned periodically.