Asset Management Specialist job at World Vision
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Asset Management Specialist
2025-08-01T06:25:23+00:00
World Vision
https://cdn.greatugandajobs.com/jsjobsdata/data/employer/comp_756/logo/world%20vision%20logo.png
FULL_TIME
 
Uganda
Kampala
00256
Uganda
Nonprofit, and NGO
Accounting & Finance
UGX
 
MONTH
2025-08-15T17:00:00+00:00
 
Uganda
8

VisionFund is World Vision’s microfinance provider serving vulnerable clients through loans, savings, and insurance. We enable families to grow their livelihoods in hard to reach, rural locations in 28 countries so that caregivers can create secure futures for their children. We believe in brighter futures for children; empowering families to create incomes and jobs; unlocking economic potential for communities to thrive. Join VisionFund as we seek to end intergenerational poverty through microfinance.

The Asset Management Specialist role will support both the raising of finance at the Global Centre and the deployment of those funds within the network. In raising finance, the role will report to the Capital Markets Director and support both lender due diligence and lender relationship management. In deployment of funds, the role will have a dotted-line to the Interim Investment Portfolio Manager and will work alongside the Treasury Analyst to run the back-office processes in relation to the documentation, recording, payments and processing of all new MFI loans.


Role Responsibilities

Investment Portfolio

  • Work under the management of the Interim Investment Portfolio Manager, alongside the Treasury Analyst, on the documentation, recording, payments and processing of all new MFI loans.
  • Handle ad-hoc investment-related inquiries, including renewals, disbursements of budgeted loans, and coordinate with Interim Investment Portfolio Manager and RFDs for timely responses.
  • Monitor the portfolio's performance by coordinating with the FOTT and Risk teams, and calculate the Weighted Interest Rate for performance analysis and update the monthly portfolio report.
  • Input loans and borrowings in Kyriba. Check monthly Kyriba reports related to loans and borrowings to ensure accuracy and compliance.

Borrowings

  • Manage and review any data rooms used for lender due diligence to ensure all relevant documents are up to date and accessible.
  • Update and maintain the third-party debt master file, including debt maturity/refinancing schedules and funding pipelines and Kyriba system.
  • Prepare and analyse current and projected lender concentration charts.
  • Work with the Capital Markets Director and Interim Investment Portfolio Manager to create PowerPoint slides for pitching and sharing organizational information to potential lenders.
  • Engage with lenders and build relationship including through the distribution of lender reporting and logistics management for running due diligence processes.

Asset & Liability Committee (ALCO)

Prepare all allocated sections of the ALCO pack.

VFI GC Finance Team Activities

  • Support the FOTT team's budgeting process by providing forward looking data and analysis related to the budget line items for loans and borrowings, ensuring accurate forecasting and alignment with financial goals once annually.
  • Participate in and lead team devotions.
  • Undertake training as required by VFI and for professional development.
  • Perform other activities that are required to support the successful functioning of GC Finance.

 Knowledge, Skills and Abilities

Required Professional Experience

  • Bachelor’s degree, preferably in Finance, Accounting, Business, Economics or related discipline
  • 5+ years of financial analysis or accounting experience
  • Experience in corporate treasury, banking, investing, or lending practices preferred
  • Strong experience reviewing and analysing financial statements
  • Highly organized and self-motivated, able to work independently with minimal supervision
  • Strong proficiency in MS Excel, PowerPoint, and Word
  • Detail-oriented with a focus on accuracy and high standards
  • Strong problem-solving skills and ability to drive continuous improvement
  • Experience working in fast-paced environments with tight deadlines and multiple projects
  • Ability to work effectively in a small team
  • Excellent intercultural communication and influencing skills
  • Written and spoken fluency in English 

Preferred Knowledge and Qualifications

  • Corporate Treasury, banking, lending and/or investment knowledge or experience
  • International experience in emerging markets
  • Intermediate or advanced MS Excel, PowerPoint and Word skills


Work Environment/Travel

  • National/international travel anticipated up to 15% of the time and flexibility to communicate with colleagues in different time zones (email/skype/phone).
 
 
 
bachelor degree
60
JOB-688c5dd3e9c0c

Vacancy title:
Asset Management Specialist

[Type: FULL_TIME, Industry: Nonprofit, and NGO, Category: Accounting & Finance]

Jobs at:
World Vision

Deadline of this Job:
Friday, August 15 2025

Duty Station:
Uganda | Kampala | Uganda

Summary
Date Posted: Friday, August 1 2025, Base Salary: Not Disclosed

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JOB DETAILS:

VisionFund is World Vision’s microfinance provider serving vulnerable clients through loans, savings, and insurance. We enable families to grow their livelihoods in hard to reach, rural locations in 28 countries so that caregivers can create secure futures for their children. We believe in brighter futures for children; empowering families to create incomes and jobs; unlocking economic potential for communities to thrive. Join VisionFund as we seek to end intergenerational poverty through microfinance.

The Asset Management Specialist role will support both the raising of finance at the Global Centre and the deployment of those funds within the network. In raising finance, the role will report to the Capital Markets Director and support both lender due diligence and lender relationship management. In deployment of funds, the role will have a dotted-line to the Interim Investment Portfolio Manager and will work alongside the Treasury Analyst to run the back-office processes in relation to the documentation, recording, payments and processing of all new MFI loans.


Role Responsibilities

Investment Portfolio

  • Work under the management of the Interim Investment Portfolio Manager, alongside the Treasury Analyst, on the documentation, recording, payments and processing of all new MFI loans.
  • Handle ad-hoc investment-related inquiries, including renewals, disbursements of budgeted loans, and coordinate with Interim Investment Portfolio Manager and RFDs for timely responses.
  • Monitor the portfolio's performance by coordinating with the FOTT and Risk teams, and calculate the Weighted Interest Rate for performance analysis and update the monthly portfolio report.
  • Input loans and borrowings in Kyriba. Check monthly Kyriba reports related to loans and borrowings to ensure accuracy and compliance.

Borrowings

  • Manage and review any data rooms used for lender due diligence to ensure all relevant documents are up to date and accessible.
  • Update and maintain the third-party debt master file, including debt maturity/refinancing schedules and funding pipelines and Kyriba system.
  • Prepare and analyse current and projected lender concentration charts.
  • Work with the Capital Markets Director and Interim Investment Portfolio Manager to create PowerPoint slides for pitching and sharing organizational information to potential lenders.
  • Engage with lenders and build relationship including through the distribution of lender reporting and logistics management for running due diligence processes.

Asset & Liability Committee (ALCO)

Prepare all allocated sections of the ALCO pack.

VFI GC Finance Team Activities

  • Support the FOTT team's budgeting process by providing forward looking data and analysis related to the budget line items for loans and borrowings, ensuring accurate forecasting and alignment with financial goals once annually.
  • Participate in and lead team devotions.
  • Undertake training as required by VFI and for professional development.
  • Perform other activities that are required to support the successful functioning of GC Finance.

 Knowledge, Skills and Abilities

Required Professional Experience

  • Bachelor’s degree, preferably in Finance, Accounting, Business, Economics or related discipline
  • 5+ years of financial analysis or accounting experience
  • Experience in corporate treasury, banking, investing, or lending practices preferred
  • Strong experience reviewing and analysing financial statements
  • Highly organized and self-motivated, able to work independently with minimal supervision
  • Strong proficiency in MS Excel, PowerPoint, and Word
  • Detail-oriented with a focus on accuracy and high standards
  • Strong problem-solving skills and ability to drive continuous improvement
  • Experience working in fast-paced environments with tight deadlines and multiple projects
  • Ability to work effectively in a small team
  • Excellent intercultural communication and influencing skills
  • Written and spoken fluency in English 

Preferred Knowledge and Qualifications

  • Corporate Treasury, banking, lending and/or investment knowledge or experience
  • International experience in emerging markets
  • Intermediate or advanced MS Excel, PowerPoint and Word skills


Work Environment/Travel

  • National/international travel anticipated up to 15% of the time and flexibility to communicate with colleagues in different time zones (email/skype/phone).

 

Work Hours: 8

Experience in Months: 60

Level of Education: bachelor degree

Job application procedure

Interested in applying for this job? Click here to submit your application now

 

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Job Info
Job Category: Management jobs in Uganda
Job Type: Full-time
Deadline of this Job: Friday, August 15 2025
Duty Station: Uganda | Kampala | Uganda
Posted: 01-08-2025
No of Jobs: 1
Start Publishing: 01-08-2025
Stop Publishing (Put date of 2030): 01-08-2043
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