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  Ernst & Young LLP

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Financial Services Office - Advisory Services Manager -...

Posted:  November 12, 2009

Being part of a dynamic, growing organization offers an exciting career path full of opportunity. Ernst & Youngs Financial Services Office (FSO) is a unique, industry-focused business unit that provides a broad range of integrated services which leverage deep industry experience with strong functional capability and product knowledge. With a client base that includes financial institutions and other capital markets participants, theres tremendous potential for growth - and were prepared to tap into that potential. Our FSO team takes a strategic approach to helping clients mitigate risk while improving and sustaining their business performance. In todays complex business environment, that means understanding the relationship between risk, the regulatory environment, and performance improvement, and applying our knowledge to help clients achieve their business objectives.

When youre on our FSO team, you specialize in a particular competency - Risk, Performance Improvement, or IT Risk & Assurance - all as part of a world class, cross-functional team. You also have the opportunity to work across disciplines with professionals who have broad financial services industry sector experience and deep subject-matter knowledge. In FSO, our growth strategy focuses on being account-centric, issue-based and competency-driven. Thats what differentiates Ernst & Young in the marketplace.

The time is now. If you are interested in being part of a dynamic team, serving clients and reaching your full potential - Ernst & Youngs Financial Services Office is for you.

Within Ernst & Youngs FSOs Advisory Services practice, the Financial Services Risk Management (FSRM) group provides integrated risk management advisory services to leading Investment Banks, Commercial Banks, Asset Managers, Insurance Companies, Energy Companies, and the Corporate Treasury functions of leading Fortune 500 Companies on a global basis. FSRM engagement teams provide clients with recommendations to help identify, measure, manage and monitor the market, credit, operational, and regulatory risks associated with their trading, asset-liability management, capital management and other capital markets activities.

FSRM employs individuals with financial services risk management, trading, regulatory, quantitative, technology, operations and accounting backgrounds. The breadth of the experiences of the FSRM professionals enables the practice to coordinate the delivery of a broad array of risk management services to capital market participants throughout the world in a well integrated manner.

The Liquidity Risk and Treasury team advise sophisticated financial services clients on a range of risk management services in the treasury area including; asset liability management, liquidity risk management, capital management funds transfer pricing (FTP) and other treasury activities.

Responsibilities

Manage multi-disciplined teams of advisory professionals. Specifically, the Manager will supervise, manage, and participate in:

Critical analysis of the policies, procedures, people, processes, and systems used by financial institutions and capital markets participants in the treasury area to identify, assess, measure, monitor and control significant risks such as interest rate, liquidity, and foreign exchange risk.

Prepare and deliver thought leadership in the asset liability management, liquidity risk, and capital management areas.

Recommend modifications to client risk management practices and infrastructures to enhance the efficiency and effectiveness of their business processes and risk management programs.

Design and implement creative and practical solutions.

Develop proposals and target financial services clients in treasury and risk management area.

This position requires approximately 30% out of town travel.

To qualify, candidates must have:

* a bachelors degree and approximately 5 years of related work experience; or a graduate degree and approximately 4 years of related work experience * experience in treasury and capital markets risk management practices, processes and products * knowledge of a broad range of treasury instruments and the complex financial products (including all short and medium term money market instruments, foreign exchange, and interest rate derivatives) used to manage risk * strong mathematical and problem solving skills and the ability to present complex information in a clear and concise manner * strong communication and relationship building skills are essential * functional knowledge related to asset-liability management, interest rate risk, funding and liquidity risk, behavioral modeling, stress testing and scenario analysis, maturity mismatch, prepayment option modeling, sedimentation modeling, etc. * understand leading practices in Treasury governance, processes, procedures and internal control environment * leadership as well as proven project management skills * strong written and verbal communication skills for report writing, client presentations, and project management

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Please refer to job code 504429 when responding to this ad.

Category:Accounting/Banking/Finance/Insurance
     > Financial Services
     > Other Finance
Location:New York, NY
County:New York County
ZIP Code:10001
Pay Rate:Open
Job Terms:full time
Company:Ernst & Young LLP
Phone:email only please
Fax:email only please

 
 
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