Treasury Risk Senior Manager, Financial Risk Management 29 views
Job Overview
- Salary Offer Market Related
- Experience Level Senior
- Total Years Experience 0-5
Purpose:
A professional services company is seeking a Treasury Risk Senior Manager, Financial Risk Management who will be responsible to support the management of all financial activities that contribute to outcomes associated with performance and financial risk management objectives, including treasury framework and governance, financial risk, funding risk, liquidity and cash risk and treasury operational risk, to that end, we need a diverse team which offers top-shelf capability in risk framework design and review, policies and process, hedging and managing interest rate risk, managing and measuring liquidity risk, as well as the review and implementation supports of treasury systems
Key Job Outputs:
- Sharing treasury risk, internal audit, internal controls, financial and regulatory reporting, or assurance insights, tailoring your communication appropriately for subject matter experts and clients who want to learn more
- Project management pro, with big-picture thinking and the skills to see projects from beginning to end; such as establishing project details, performance measurement baselines, key milestones, work breakdown structures, and resource planning
- Business development opportunities, with confidence creating effective sales material including proposals, case studies, webinar preparation and other sector-specific material
- Self-aware leader with a passion for continually growing your leadership skills to get the best out of a diverse and multidisciplinary team
- Lead the delivery of projects, gathering and documenting requirements, considering all stakeholders’ interests, regulatory constraints and any potential deficiencies in the current methods exposed by quality assurance and reviews
- Support the growth of the treasury team, initiating and driving business development opportunities and establishing a stronger market presence for the team
Qualifications:
- BCom Honours Finance/Commerce or similar degrees, CA(SA), CFA or other equivalent professional qualifications
Experience:
- At least 7 years’ experience
- Financial services products and services, including Insurance, asset management, retail/commercial/investment banking
- Solid understanding of corporate treasury operations, processes and procedures developed while working in a consulting or a corporate environment
- Understanding of Macroeconomic and regulatory environment as they relate to financial institutions
- Understanding of balance sheet management, asset liability management (ALM), funds transfer pricing (FTP), Liquidity Risk Management, capital management, financial performance management and hedging
- Understanding of liquidity management, including intraday liquidity management, cash management, cash flow forecasting, and funding planning
- Understanding or experience supporting implementation of post-implementation review and monitoring of treasury systems
- Knowledge of the regulatory frameworks that financial entities operate within e.g. FICA, Bank’s Act, Financial Markets Act
Salary: Market related
Should you not hear from us within 2 weeks, kindly consider your application as unsuccessful.
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