Accenture - Columbus, OH

posted 7 days ago

Full-time - Mid Level
Columbus, OH
Professional, Scientific, and Technical Services

About the position

The Treasury & Financial Risk Management Manager role at Accenture involves working with C-suite executives and leaders to enhance financial risk management strategies and compliance for top-tier financial services organizations. The position focuses on assessing risks, developing mitigation strategies, and managing project teams to deliver effective solutions that drive growth and operational improvements. The role requires a strong understanding of treasury functions, regulatory compliance, and the ability to communicate effectively with clients to implement innovative financial strategies.

Responsibilities

  • Assess risk and develop mitigation strategies for top-tier financial services organizations.
  • Support and share knowledge with project teams and use analytics to find new ways of working that prioritize people and processes.
  • Manage project teams, deliverables, and budgets across workflows.
  • Attract new business by creating thoughtful proposals and building strong client relationships.
  • Show clients where and how to benefit from a more flexible workforce.
  • Use design-led thinking to improve customer experience.
  • Help grow the practice by championing Accenture initiatives and products.
  • Stay informed about how new regulations and technologies affect clients' businesses.

Requirements

  • 3+ years of experience in risk and regulatory management consulting from a competitive firm in a similar oversight role.
  • 5+ years of experience with treasury organizational structure and transformation, capability maturity transformations, and gap assessments.
  • Good understanding of end-to-end data, technology, and operational capabilities for complex treasury functions.
  • Experience in balance sheet and treasury management, including liquidity and cash management, cash flow forecasting, and analytics.
  • Knowledge of capital management and stress testing, regulatory reporting, and credit risk management.

Nice-to-haves

  • Bachelor's degree with exposure to Analytics, Applied Mathematics, Banking and Finance, Engineering and Business, Finance & Investment Analysis, International Business, Mathematical Economics, Mathematical Statistics, Quantitative Finance, Risk Management.

Benefits

  • Diversity and inclusion initiatives
  • Equal Employment Opportunity policies
  • Accommodations for disabilities or religious observances
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