Senior Treasury Consultant/Manager

Treasury
Published
28th February 2019
Location
Amsterdam, Netherlands
Category
Job Type
Permanent
Salary
Competitive

Description

Within Financial Risk we focus on Capital Management, Liquidity & Treasury Risk. We support the client in developing and validating models for these types of risk. You can also think of activities such as capital assessments, liquidity, funding, stress testing and balance sheet optimization. We advise banks, insurance companies, asset managers and pension funds.

Your profile:

  • As a Senior Consultant within the Capital Management, Liquidity & Treasury Risk team you enjoy solving complex problems using mathematics or statistics. Building models challenges you and you are capable of explaining the choices made during the modelling phase, as well as the outcomes to clients. In addition, you offer professional knowledge as input for ongoing projects and you perform complex assignments in multidisciplinary teams. You will manage project teams and be the primary contact person for the client. Besides managing project teams, you will also play a major role in preparing proposals and developing new propositions. Your commercial and analytical skills and professional network will contribute to the further growth of the Capital Management, Liquidity & Treasury Risk team.

Successful applicants will be/have:

  • At least two years of relevant quantitative work experience in modelling, validation, the actuarial profession, risk management, financial markets, ALM, financial instruments or insurance companies;
  • A Master’s degree in: Econometrics, Mathematics, Economics, Finance, Business Administration or a science Master;
  • Commercially skilled and capable of advising clients based on your technical expertise;
  • Experience with project-based working and managing multidisciplinary project teams;
  • Capable of realising changes within organisations by communicating clearly;
  • Capable of developing new propositions;
  • A team player;
  • Ambitious, independent, energetic and able to perform under pressure; and
  • Proficient in English, both verbally and in writing.

Your Profile

  • As a Senior Consultant within the Capital Management, Liquidity & Treasury Risk team you enjoy solving complex problems using mathematics or statistics. Building models challenges you and you are capable of explaining the choices made during the modelling phase, as well as the outcomes to clients. In addition, you offer professional knowledge as input for ongoing projects and you perform complex assignments in multidisciplinary teams. You will manage project teams and be the primary contact person for the client. Besides managing project teams, you will also play a major role in preparing proposals and developing new propositions. Your commercial and analytical skills and professional network will contribute to the further growth of the Capital Management, Liquidity & Treasury Risk team.

Successful applicants will be/have:

  • At least two years of relevant quantitative work experience in modelling, validation, the actuarial profession, risk management, financial markets, ALM, financial instruments or insurance companies;
  • A Master’s degree in: Econometrics, Mathematics, Economics, Finance, Business Administration or a science Master;
  • Commercially skilled and capable of advising clients based on your technical expertise;
  • Experience with project-based working and managing multidisciplinary project teams; Capable of realising changes within organisations by communicating clearly;
  • Capable of developing new propositions;
  • A team player; Ambitious, independent, energetic and able to perform under pressure; and
  • Proficient in English, both verbally and in writing.

For more information please email: georgebirchenough@bsmgroup.com

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