Treasury manager
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Reference: NFP -CAM-1
As a Treasury Manager, you will lead cutting-edge projects and set new standards in liquidity risk, capital management, and treasury best practices. Duties & Responsibilities
A multinational Consulting firm with a strong international presence is seeking an experienced Treasury Manager to enhance and expand their services to Banks by leading client projects, contributing practical expertise to the team, and establishing a reputation in this field.
These projects focus on various areas:
As regulations and market conditions in this field are constantly changing, this role is dynamic and requires ongoing skills development. It also provides exposure to the Insurance and Corporate sectors.Job Requirements
Education:
CA(SA) or Degree / Honours / Masters in Risk Management, Mathematics or Statistics CFA / FRM / PRM preferable Work experience in the treasury environment of a bank (Required) Experience:
Preferably at least 5 years, in Treasury / Liquidity Risk roles that encompass responsibilities such as:
Understanding financial instruments and how these are utilized by Banks for risk management purposes. Understanding pricing models and common risk metrics (sensitivities, stress tests, Va R, LCR, NSFR). Liquidity risk management, funding, funds transfer pricing. Governance and controls, policies and procedure documentation.
If you are interested in this opportunity, please apply directly. If you have not had any response in two weeks, please consider the vacancy application unsuccessful. Your profile will be kept on our database for any other suitable roles / positions.
For more information contact:
Camryn Mearns
Specialist Consultant: Finance
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