4 Job Opportunities at Diamond Trust Bank (DTB), Dar es Salaam June 2026

Website Diamond Trust Bank (DTB) Tanzania

Diamond Trust Bank (DTB) Tanzania

Diamond Trust Bank (DTB) Tanzania – Treasury Department Vacancies

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Website: Diamond Trust Bank Tanzania

Application Deadline: 15 June 2026

How to Apply: Send your application letter and updated CV to recruitment2026@diamondtrust.co.tz


1. FX Sales & Governance Lead – Treasury

Reports To: Head of Treasury

Job Purpose

The FX Sales & Governance Lead is responsible for overseeing Treasury governance activities while supporting FX sales, product structuring, client engagement, and regulatory compliance. The role ensures Treasury operations align with internal policies, risk standards, and regulatory requirements.

Key Responsibilities

FX Sales

  • Support Treasury sales activities and client engagement.
  • Structure Treasury products including:
    • Foreign Exchange (FX)
    • Derivatives
    • Fixed Income products
  • Ensure products meet client needs while adhering to governance and risk requirements.
  • Maintain compliant client interactions in line with regulatory standards.

Treasury Operations

  • Collaborate with IT teams to ensure Treasury systems are:
    • Secure
    • Efficient
    • Reliable
    • Suitable for governance and sales operations

Governance & Compliance

  • Ensure compliance with:
    • Anti-Money Laundering (AML) regulations
    • Know Your Customer (KYC) requirements
    • Local and international banking regulations
  • Develop, implement, and update Treasury policies and procedures.
  • Monitor regulatory changes and industry best practices.

Qualifications

  • Bachelor’s Degree in:
    • Finance
    • Economics
    • Business Administration
    • Related field
  • Master’s degree is an added advantage.
  • Professional certifications such as CFA or FRM are highly preferred.
  • ACI Dealing Certificate (Mandatory).

Experience

  • Minimum 5 years of Treasury experience.
  • Strong background in:
    • Treasury governance
    • Regulatory compliance
    • Treasury sales support

Key Competencies

  • Integrity and ethical judgment
  • Leadership and influence
  • Strategic thinking

2. Assistant Manager – Treasury FX Trader

Reports To: Head of Treasury

Job Purpose

To achieve FX trading income and volume targets through active trading of spot, forward, and derivative products while managing market risk within approved limits.

Key Responsibilities

  • Execute FX:
    • Spot transactions
    • Forward transactions
    • Derivative transactions
  • Achieve assigned revenue and volume targets.
  • Convert client flows into profitable trading opportunities.
  • Manage FX positions within:
    • Net Open Position (NOP) limits
    • Counterparty limits
    • Dealer limits
  • Build and maintain relationships with local and international counterparties.
  • Monitor:
    • Currency markets
    • Liquidity conditions
    • Economic developments
  • Identify and manage FX risks.
  • Ensure compliance with:
    • Regulatory requirements
    • Internal Treasury policies
    • Approved procedures
  • Prepare Treasury reports and market updates.

Qualifications

  • Degree in:
    • Finance
    • Economics
    • Banking
    • Accounting
    • Related field
  • ACI Dealing Certificate (Mandatory).

Technical Knowledge

  • FX Spot Trading
  • FX Forwards
  • FX Swaps
  • Derivatives
  • Market Risk Management
  • Treasury Controls

Experience

  • 3–5 years in:
    • Treasury
    • FX Trading
    • Money Markets
    • Financial Markets

Key Competencies

  • Strong service ethic
  • Analytical skills
  • Relationship management
  • Ability to work independently in dynamic environments

3. Officer – Treasury FX Sales

Reports To: Head of FX Sales

Job Purpose

To increase FX sales volumes and Treasury income by managing client relationships, identifying business opportunities, and delivering suitable Treasury solutions.

Key Responsibilities

  • Provide FX pricing and Treasury solutions to clients.
  • Deliver assigned FX volume and income targets.
  • Ensure best execution practices for FX transactions.
  • Identify new business opportunities through:
    • Client visits
    • Relationship reviews
    • Market engagement
  • Build and maintain strong client relationships.
  • Work closely with:
    • FX Traders
    • Sales Officers
  • Support Treasury revenue growth.
  • Maintain and expand the Treasury client base.
  • Participate in Treasury business development initiatives.
  • Conduct market research and business analysis.

Qualifications

  • Degree in:
    • Finance
    • Economics
    • Banking
    • Accounting
    • Related field
  • ACI Dealing Certificate (Mandatory).

Experience

  • 3–5 years in:
    • FX Sales
    • Treasury
    • Relationship Management
    • Financial Markets

Key Competencies

  • Sales and negotiation skills
  • Communication skills
  • Relationship management
  • Strong customer service orientation
  • Independent problem-solving ability

4. Treasury FI & MM Dealer

Reports To: Head of Treasury

Job Purpose

To manage the Bank’s liquidity, money market, and fixed-income activities while ensuring regulatory compliance, effective funding, cash flow management, and income generation.

Key Responsibilities

Liquidity Management

  • Ensure compliance with statutory reserve and liquidity requirements.
  • Manage intraday cash flows and short-term funding needs.
  • Maintain adequate balances in:
    • Nostro accounts
    • Clearing accounts
  • Avoid account overdrafts and optimize surplus fund investments.

Money Market & Fixed Income Activities

  • Generate income through approved Treasury instruments.
  • Manage investments in:
    • Government securities
    • Interbank placements
  • Review borrowing and lending transactions.
  • Support funding and investment activities through active market participation.

Reporting & Forecasting

  • Forecast future funding requirements.
  • Prepare:
    • Liquidity reports
    • ALM reports
    • ALCO reports
    • Mark-to-market reports
  • Produce ad-hoc Treasury reports when required.

Qualifications

  • Bachelor’s Degree in:
    • Economics
    • Commerce
    • Banking and Finance
    • Related field
  • ACI Dealing Certificate (Mandatory).
  • Computer literacy is essential.
  • Good understanding of local and international financial markets.

Experience

  • 1–3 years in:
    • Treasury
    • FX Trading
    • Money Markets
    • Financial Markets

Key Competencies

  • Strong understanding of financial markets
  • Knowledge of the banking and financial services industry
  • Analytical and reporting skills
  • Attention to detail

Application Instructions

Employer: Diamond Trust Bank Tanzania

📧 Email Applications To: recruitment2026@diamondtrust.co.tz

📅 Application Deadline: 15 June 2026

Applicants should submit:

  • Application Letter
  • Updated Curriculum Vitae (CV)

Only shortlisted candidates will be contacted.

To apply for this job email your details to recruitment2026@diamondtrust.co.tz

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