Manager: Treasury & Financial Risk

Network Finance

Randburg

On-site

ZAR 1,000,000 - 1,500,000

Full time

12 days ago
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Job summary

Network Finance seeks a senior Treasury and Financial Risk Manager to lead treasury and risk projects across clients. You will design governance frameworks, advise on liquidity, ALM, FTP, and hedging strategies, and drive system implementations.

With 5+ years in Treasury/Financial Risk roles and qualifications like CA(SA)/CFA/FRM, you will manage stakeholders, support business development, and mentor junior staff within a consulting-led practice.

Qualifications

  • Minimum 5 years' experience in Treasury, Financial Risk Management, Banking, Consulting, Advisory or Financial Services environments.
  • Strong exposure to Treasury Risk, Liquidity Risk, Market Risk, ALM, Funding or Balance Sheet Management.
  • Experience managing projects and engaging with senior stakeholders.

Responsibilities

  • Lead the delivery of Treasury and Financial Risk Management projects across multiple clients.
  • Design and review treasury governance frameworks, policies, and risk management processes.
  • Advise on liquidity risk, funding risk, ALM, FTP, and hedging strategies.
  • Gather and document business requirements while managing stakeholder expectations and regulatory considerations.
  • Support treasury system implementations, enhancements, and post-implementation reviews.
  • Drive business development initiatives through proposal preparation, thought leadership, and client engagement.
  • Coach and develop junior team members while contributing to the growth of the practice.

Skills

Treasury Operations & Governance
Asset Liability Management
Funds Transfer Pricing
Liquidity Risk Management
Capital & Balance Sheet Mgmt
Treasury Systems & Risk Reporting
Stakeholder Management & Communication

Education

BCom Honours in Finance/Commerce/Economics
CA(SA) / CFA / FRM advantageous

Job description

Key Responsibilities
  • Lead the delivery of Treasury and Financial Risk Management projects across multiple clients.
  • Design and review treasury governance frameworks, policies, and risk management processes.
  • Advise on liquidity risk, funding risk, capital management, ALM, FTP, and hedging strategies.
  • Gather and document business requirements while managing stakeholder expectations and regulatory considerations.
  • Support treasury system implementations, enhancements, and post-implementation reviews.
  • Drive business development initiatives through proposal preparation, thought leadership, and client engagement.
  • Coach and develop junior team members while contributing to the growth of the practice.
Job Experience and Skills Required
Education:
  • BCom Honours in Finance, Commerce, Economics, or a related field.
  • CA(SA), CFA, FRM, or equivalent professional qualification advantageous.
Experience:
  • Minimum 5 years' experience within Treasury, Financial Risk Management, Banking, Consulting, Advisory, or Financial Services environments.
  • Strong exposure to Treasury Risk, Liquidity Risk, Market Risk, ALM, Funding, or Balance Sheet Management.
  • Experience managing projects and engaging with senior stakeholders.
  • Previous consulting or advisory experience will be advantageous.
Skills:
  • Treasury Operations and Governance
  • Asset Liability Management (ALM)
  • Funds Transfer Pricing (FTP)
  • Liquidity and Funding Risk Management
  • Capital and Balance Sheet Management
  • Treasury Systems and Risk Reporting
  • Strong analytical, communication, and stakeholder management skills
Non-Negotiables:
  • Sound understanding of the regulatory environment affecting financial institutions.
  • Strong project management and leadership capabilities.
  • Ability to work across multiple engagements and manage competing priorities.
  • Proven ability to build relationships with clients and key stakeholders.
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