As an Assistant Manager/ Manager within the Financial Risk Management (“FRM”) Team you will provide a wide range of treasury advisory services to our corporate clients including review and implementation of treasury strategies, policies, target operating models, cash/liquidity management processes, hedging strategies as well as treasury systems selection and implementation.
Project and Team Related
Manage multiple corporate treasury projects and ensure all engagements are planned and delivered within budget and on time
Manage teams and be responsible for delivering high quality results and generating effective and impactful solutions
Remain current on new developments in corporate treasury
Business Development
Establish, maintain and strength internal and external relationships
Support senior management team to identify new opportunities
Draw on your knowledge and experience to create practical and innovative insights for clients contributing to KPMG thought leadership
The Individual
Thorough understanding of corporate Treasury
Good technical knowledge of treasury systems and previous experience in systems selection and implementation (KYRIBA, FIS, SAP Hana, GTreasury, etc.)
Good undersigning of cash and liquidity management and previous experience in cash flow forecasting and cash pooling
Prior experience in financial modeling and financial risk management
Detailed knowledge of treasury products pricing and accounting treatments
Strong analytical and problem solving skills
Prior experiences in managing and motivating a team in Treasury related areas
Strong ability to map client business requirements and convert the same to a viable business proposition
Exposure to business development in consulting (Pre-sales support, proposals, RFP responses)
Strong communication skills with client facing experience.
Ability to work under pressure – stringent deadlines and tough client conditions which may demand extended working hours.
Demonstrate integrity, values, principles, and work ethic and lead by example
Qualifications
As a minimum a bachelor’s degree in a relevant field including Finance or Accounting.
Prior work experience (7+ years) in a corporate treasury function or Consultancy/Big 4 firm
Professional certification such as ACA, ACCA, CPA, CA or CFA
Aptitude for quantitative analysis and strong numerical skills with evidence of advanced financial modeling skills
Experience in analytical and treasury systems such as Kyriba, FIS, SAP HANA, GTreasury, ION, etc.
What We Offer You
A professional work environment full of challenges and development opportunities
A competitive salary and benefits package
Ongoing training and coaching to develop new skills and progress your career
For further information, and to apply, please visit our website via the “Apply” button below.
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