In KPMG's Advisory practice, we don't limit ourselves to either strategy or implementation. Instead, we deliver both. Our team in Hong Kong and in China is a young and enthusiastic team that always pushes itself to succeed.
Since our creation, we've developed in-depth knowledge of an incredibly broad spread of sectors and services.
In Finance Consulting, we aim to help drive growth, manage risk and optimize business performance by improving efficiency and providing insights in business decisions.
We currently have an outstanding opportunity for a Senior Consultant to provide experience and to help our expanding Corporate Finance and Treasury team further develop its leading market position in the provision of advisory services.
Depending on experience and skills, the role will include the delivery and management of strategy, Treasury IT and Reporting, Cash Management and Payments, Risk Management, Accounting and Valuation projects, business development and marketing work for our services, and staff management for ensuring the future growth of the Financial Services Advisory practice in Hong Kong & China.
As a Senior Consultant, your role will be assisting clients with policy, framework, process, methodology, models and systems related to Corporate Treasury.
Your main responsibilities will be :
Support the execution of FRM Market Risk engagements to ensure quality service is delivered
Assist in developing and maintaining productive client relationships, maximising business opportunities
Maintain up-to-date knowledge of Corporate Treasury practices, both locally and internationally
Build strong internal relationships within Advisory practice and across other services.
2 - 5 years of experience in the financial industry, preferably at a corporate, consulting firm or software vendor.
University degree from a relevant field such as Finance, Mathematics or Science; desired MSc / PhD in a quantitative discipline / qualifications such as HKICPA, CFA or FRM
Posses a depth of knowledge in :
Strategy, organization and processes : Development and implementation of organizational structure
especially setting up a Centralized Treasury Centre), methods, processes and financial risk strategies including implementation of Treasury Management systems as part of corporate transformation or transaction projects
Treasury IT and Reporting : Implementation of Treasury Management systems and reporting optimization
Payments : Optimization of payment processes including payment factories and in-house banks
Cash Management & Liquidity Management : Establishment of cash management structures including bank strategy as well as liquidity planning processes, methodologies and systems
Financial Risk Management : Identification, quantification and development of control logics and strategies in currency, Interest rate and credit risk management
Exceptional interpersonal skills with a demonstrated ability to gain the confidence and respect of senior executives
Strong planning and organizing skills, with the ability to work effectively under pressure managing multiple / large scale projects or project deliverables
Excellent analytical skills coupled with a pragmatic approach to problem solving
Fluent in both English and Chinese (Mandarin and Cantonese), with excellent business and technical writing and presentation skills
Cross cultural business and overseas experience preferred
Experience with Alteryx, Qlik or Python is a plus.