Accenture - Florham Park, NJ

posted 3 days ago

Full-time - Mid Level
Florham Park, NJ
Professional, Scientific, and Technical Services

About the position

The Treasury & Financial Risk Management Sr. Manager at Accenture plays a pivotal role in guiding top-tier financial services organizations through risk assessment and mitigation strategies. This position involves managing project teams, delivering on client expectations, and leveraging analytics to enhance operational efficiency. The role requires a strong focus on client relationships and the ability to adapt to new regulations and technologies, ensuring that clients are equipped with the right tools to maintain compliance and drive value.

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 and Accenture's operations

Requirements

  • 5 plus years of experience in risk and regulatory management consulting from a competitive firm in a similar oversight role
  • 7 plus years of experience with treasury organizational structure and transformation
  • Experience in capability maturity transformations including gap assessments, target operating model design, build, implementation, and roll-out
  • Good understanding of underlying end-to-end data, tech, 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 contingency funding planning and recovery and resolution planning
  • Experience in capital management and stress testing (CCAR), scenario management, and management
  • Familiarity with regulatory reporting such as FR2052 and FR-Y-14
  • Experience in credit risk management, policy and governance, and portfolio management and analytics

Nice-to-haves

  • Experience with credit risk data management, technology, and platforms
  • Knowledge of counterparty credit and market risk management

Benefits

  • Comprehensive health insurance
  • 401k retirement plan
  • Flexible work hours
  • Professional development opportunities
  • Paid time off and holidays
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