Treasury Advisory Mgr for Global Advisory firm
New York, New York
Practice Description:
The FSRM practice provides integrated risk management, regulatory and global treasury advisory services to financial institutions and other capital markets participants. This group includes individuals who are industry and financial product specialists as well as accounting, regulatory and technology professionals. Together, these professionals deliver value-added services to financial services industry clients, including commercial banks, investment banks, broker-dealers, asset managers, and insurance companies.
Specific Responsibilities:
Manager will provide leadership to a team of professionals serving financial services clients. This role will advise sophisticated financial services clients on a range of risk management services in the treasury area including asset liability management / ALCO, liquidity risk management, capital management, funds transfer pricing FTP) and other treasury activities. Other responsibilities include managing multi-disciplined teams of consulting professionals. Specifically, the Manager will supervise, manage, and participate in:
Critically analyzing the policies, procedures, people, processes, and systems used by financial institutions and capital markets participants in the treasury area to identify, assess, measure, monitor and control significant risks such as interest rate, liquidity, and foreign exchange risk
Preparing and delivering thought leadership in the asset liability management,
recommending modifications to client risk management practices and infrastructures to enhance the efficiency and effectiveness of their business processes and risk management programs, and;
designing and implementing creative and practical solutions.
Consulting experience in developing proposals and targeting financial services clients in treasury and risk management areas
Requirements:
To deliver these complex and comprehensive solution services, firm seeks individuals with a minimum of 6 years of relevant industry experience in the following areas:
Treasury and capital markets risk management practices, processes and products
Knowledge of a broad range of treasury instruments and the complex financial products (including all short and medium term money market instruments, foreign exchange, and interest rate derivatives) used to manage risk
Strong mathematical and problem solving skills and the ability to present complex information in a clear and concise manner
Strong communication and relationship building skills are essential.
Functional knowledge related to asset-liability management, interest rate risk, funding and liquidity risk, behavioral modeling, stress testing & scenario analysis, maturity mismatch, prepayment option modeling, sedimentation modeling, etc.
Understanding of leading practices in Treasury governance, processes, procedures and internal control environment.
Leadership as well as proven project management skills.
Strong written and verbal communication skills for report writing, client presentations, and project management
Qualified candidates will have an MBA or relevant experience. Out of town travel is likely, and should be expected about 30% of the time.
please email all resumes to recruiter3@mindstaff.com for prompt consideration