Reviewed Journal of International Financial Management (RJIFM) is a multidisciplinary international peer-reviewed journal that accepts original as well as extended version of the published research across major fields of finance and accounting. The main aim of this journal is to integrate theory and practice and address readership in both business and academia. Reviewed Journal of International Financial Management (RJIFM) is now accepting new submissions. Submit your paper via Online Submission System or editor@reviewedjournals.com

Vol 6 No 1 (2025)

Published: 2025-01-27

MARKETING INTELLIGENCE CAPABILITY AND PERFORMANCE OF LOGISTICS COMPANIES IN KENYA

DANIEL MUTHENYA NZEKI, EVELYN AWUOR DATCHE, PhD, TITUS MUTHAMI KISING’U, PhD, FRED MUGAMBI MWIRIGI, PhD

9 - 37

STAFF TRAINING AND REVENUE COLLECTION

PERFORMANCE OF COUNTY GOVERNMENTS IN KENYA

JOY GACHERI KITHINJI, WILLY MUTURI, PhD, PATRICK KIBATI, PhD

38 - 45

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The Reviewed Journal of International Financial Management (RJIFM) is a multidisciplinary, international, peer-reviewed journal dedicated to advancing knowledge and practice in the fields of finance and accounting. RJIFM welcomes high-quality original research papers, case studies, and extended versions of previously published work, provided they offer significant value and fresh perspectives.
The primary objective of the journal is to bridge the gap between theory and practice, promoting scholarly dialogue that informs both academic understanding and practical financial decision-making. RJIFM targets a diverse readership that includes academics, researchers, practitioners, policymakers, and industry professionals from around the globe.
The Reviewed Journal of International Financial Management (RJIFM) is now accepting new submissions for upcoming issues.
Topics Covered (Indicative but not Exhaustive):
  • Financial markets and institutions
  • Financial management and corporate finance
  • Accounting practices and standards
  • Financial technology (FinTech) and innovation
  • Investment analysis and portfolio management
  • Risk management and derivatives
  • Public sector finance and fiscal policy
  • Banking and financial services
  • Behavioural finance and decision-making
  • Sustainability accounting and ESG finance
  • Auditing, taxation, and regulatory frameworks