Description:
Job Opportunity: Treasury Risk Senior ManagerLocation: [Location]Industry: Financial ServicesJob Overview:My client is seeking a highly skilled Treasury Risk Senior Manager to join their Financial Risk Management team. The necessary qualifications and experience outlined below are non-negotiable. The ideal candidate will have extensive expertise in treasury risk, internal audit, financial reporting, and regulatory compliance, with a proven track record in managing financial activities related to performance and risk management. Key Responsibilities:- Lead and manage treasury risk projects , from planning to delivery, ensuring full compliance with regulatory requirements .
- Oversee key financial risks, including liquidity , cash flow forecasting , and funding planning .
- Provide strategic guidance to enhance the team’s market presence and contribute to business development .
- Deliver client-focused insights and presentations related to treasury systems and risk management .
- Foster growth within the treasury team and drive both internal and external business opportunities .
- A minimum of 7 years of relevant experience in financial services , particularly in corporate treasury operations or consulting . Experience in these areas is a strict requirement and not negotiable .
- In-depth knowledge of liquidity risk management , balance sheet management , ALM , and hedging strategies.
- Strong understanding of regulatory frameworks such as FICA , Bank's Act , and Financial Markets Act .
- A strong academic background with at least a B.Com Honours in Finance/Commerce or equivalent qualifications such as CA(SA) , CFA , or similar credentials. This is a non-negotiable requirement .
If you meet the required qualifications and experience, please send your CV to lolroux@networkfinance.co.za .
Should you not hear from us within two weeks, please consider your application unsuccessful.
This version highlights that the required qualifications and experience are strictly non-negotiable to make sure applicants understand the critical nature of these requirements.
Requirements:
Key Responsibilities:- Lead and manage treasury risk projects , from planning to delivery, ensuring full compliance with regulatory requirements .
- Oversee key financial risks, including liquidity , cash flow forecasting , and funding planning .
- Provide strategic guidance to enhance the team’s market presence and contribute to business development .
- Deliver client-focused insights and presentations related to treasury systems and risk management .
- Foster growth within the treasury team and drive both internal and external business opportunities .
- A minimum of 7 years of relevant experience in financial services , particularly in corporate treasury operations or consulting . Experience in these areas is a strict requirement and not negotiable .
- In-depth knowledge of liquidity risk management , balance sheet management , ALM , and hedging strategies.
- Strong understanding of regulatory frameworks such as FICA , Bank's Act , and Financial Markets Act .
- A strong academic background with at least a B.Com Honours in Finance/Commerce or equivalent qualifications such as CA(SA) , CFA , or similar credentials. This is a non-negotiable requirement .
If you meet the required qualifications and experience, please send your CV to lolroux@networkfinance.co.za .
Should you not hear from us within two weeks, please consider your application unsuccessful.
This version highlights that the required qualifications and experience are strictly non-negotiable to make sure applicants understand the critical nature of these requirements.
- Lead and manage treasury risk projects , from planning to delivery, ensuring full compliance with regulatory requirements .
- Oversee key financial risks, including liquidity , cash flow forecasting , and funding planning .
- Provide strategic guidance to enhance the team’s market presence and contribute to business development .
- Deliver client-focused insights and presentations related to treasury systems and risk management .
- Foster growth within the treasury team and drive both internal and external business opportunities .
- A minimum of 7 years of relevant experience in financial services , particularly in corporate treasury operations or consulting . Experience in these areas is a strict requirement and not negotiable .
- In-depth knowledge of liquidity risk management , balance sheet management , ALM , and hedging strategies.
- Strong understanding of regulatory frameworks such as FICA , Bank's Act , and Financial Markets Act .
- A strong academic background with at least a B.Com Honours in Finance/Commerce or equivalent qualifications such as CA(SA) , CFA , or similar credentials. This is a non-negotiable requirement .
11 Mar 2025;
from:
careers24.com