
Treasury Risk Senior Manager
- Johannesburg, Gauteng
- Permanent
- Full-time
You’ll be joining an established Regulatory & Financial Risk (RFR) advisory division, known for helping clients navigate complex risk, liquidity, and capital management landscapes. This multi-disciplinary 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.What You’ll 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, and BA300/310), contingency funding, FTP, and recovery planning
- Providing deep insights on interest rate risk in the banking book (NII, EVE, CSRBB, and BA330)
- Driving strategic capital and liquidity planning (ICAAP, stress testing, and risk appetite)
- Leading internal teams, mentoring senior professionals, and contributing to business growth
- Representing the firm in thought leadership, conferences, and industry forums
- Minimum of 5–7 years' experience in treasury or liquidity risk roles within a bank, advisory firm, or financial institution
- Expertise in liquidity and funding risk management, capital demand and supply, FTP, CFPs, and ICAAP
- Strong understanding of financial instruments and treasury operations
- Demonstrated experience managing high-impact projects with multiple stakeholders
- In-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 Tableau
- Excellent analytical, strategic thinking, and client engagement skills
- Bachelor’s or Post-graduate Degree in Actuarial Science, Finance, Statistics, Economics, Mathematics, Risk Management, or related fields
- Professional certifications such as FRM, PRM, or CFA are highly advantageous
- Work with leading financial institutions and corporates across the continent
- Be part of a future-focused, collaborative team that values expertise, innovation, and growth
- Access a hybrid working model with opportunities for development, mentorship, and global exposure
- Drive measurable impact in a role that blends strategy, execution, and thought leadership
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