Reference : NFP -LLR-1
Senior Manager Treasury & Financial Risk Advisory
Take the Lead in Transforming Treasury Risk Across Africa.
Join a dynamic and fast-paced advisory firm that is reshaping how financial institutions and corporates manage regulatory and financial risk. If youre a seasoned Treasury professional looking to drive strategic impact and shape industry-leading practices this is the opportunity to advance your career.
About the Team
Youll be joining an established Regulatory & Financial Risk (RFR) advisory division known for helping clients navigate complex risk liquidity and capital management landscapes. This multidisciplinary team includes experts in credit market and treasury risk financial instrument valuation and regulatory advisory. Working with top-tier institutions across Africa and global markets the team solves highly technical challenges while driving transformation and innovation.
Duties & Responsibilities
What Youll Do
As a Senior Manager your role will combine client leadership technical advisory and strategic execution including :
- Acting as a trusted advisor to executive and board-level clients across financial services
- Leading large-scale treasury and regulatory risk engagements from design to delivery
- Advising on liquidity risk (LCR NSFR BA300 / 310) contingency funding FTP and recovery planning
- Providing deep insights on interest rate risk in the banking book (NII EVE CSRBB BA330)
- Driving strategic capital and liquidity planning (ICAAP stress testing risk appetite)
- Leading internal teams mentoring senior professionals and contributing to business growth
- Representing the firm in thought leadership conferences and industry forums
What You Bring
Minimum of 57 years experience in Treasury or Liquidity Risk roles within a bank advisory firm or financial institutionExpertise in liquidity and funding risk management capital demand and supply FTP CFPs and ICAAPStrong understanding of financial instruments and treasury operationsDemonstrated experience managing high-impact projects with multiple stakeholdersIn-depth knowledge of risk regulations and frameworks (Basel IFRS9 credit market operational and liquidity risk)Strong proficiency in tools such as Python SAS R Excel Power BI or TableauExcellent analytical strategic thinking and client engagement skillsQualifications
Bachelors or Postgraduate Degree in Actuarial Science Finance Statistics Economics Mathematics Risk Management or related fieldsProfessional certifications such as FRM PRM or CFA are highly advantageousWhy Join
Work with leading financial institutions and corporates across the continentBe part of a future-focused collaborative team that values expertise innovation and growthAccess a hybrid working model with opportunities for development mentorship and global exposureDrive measurable impact in a role that blends strategy execution and thought leadershipKey Skills
Arm,Risk Management,Financial Services,Cybersecurity,COSO,PCI,Root cause Analysis,COBIT,NIST Standards,SOX,Information Security,RMF
Please send your CV to
Should you not hear from us within two weeks please consider your application unsuccessful
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