About Accenture:
As part of our CFO-Enterprise Value team, we give finance execs the sounding board they need. Value isn't just about maintenance. It's about zeroing in on smart, sustainable ways to grow, and finding the right tools to keep everything on track. We've got the deep industry experience, the functional insights, the data power, and the digital tech leadership to help our clients make important changes. Whether we're breaking down meaningful analytics, designing the perfect finance platforms, or building from current risk and compliance models to get ready for the future, we solve our clients' toughest problems. Visit us here to find out more about CFO-Enterprise Value
As a Treasury functional and technology professional you have a proven track record in developing and/or maintaining robust Treasury operating models that cover both the organizational as well as the operational framework of a best in class Treasury organization. As a Treasury professional with profound knowledge in system integration you combine deep business process and technical skills to analyze, design, build and implement leading treasury technologies. You have a deep understanding of key processes and controls across the core Treasury functional areas ranging from Cash and Liquidity Management through Bank Relationship/Bank Communication Management to Financial Risk Management and Debt & Investment Management. Joining an international team of experienced professionals (more than 15 nationalities) you are also keen on developing and applying truly innovative and client relevant solutions based on analytics, intelligent automation and similar digital assets in order to help Accenture's clients gain efficiency and help them improving their Treasury functions by adding more value to the business.
A professional at this position within Accenture has the following responsibilities:
Minimum 5 years of treasury consulting role, and/or corporate treasury role and/or TMS vendor (Kyriba or FIS)
Minimum of 5 years of related work experience.
Minimum 5 year of corporate treasury consulting or delivery within any one of the following functionalities:
Treasury organization, strategy and operations
Bank Reporting, Cash Management and Liquidity
Cash Flow forecasting and Cash Positioning
Bank Account Management and Bank Fees Analysis
Payments, In-House Banking and Multilateral Netting
Debt and Investment Management
Foreign Exchange and Interest Rate Hedging
Financial Risk Management, including Hedge Accounting
Governance and controls
Bachelor's Degree
CPA designation valued but not required
Preferred Requirements:
Proven track of working for a management consulting firm OR working with a treasury management system such as Kyriba, FIS, etc.
Experience with treasury transformation, system selections and/or TMS implementations
Proficient in MSFT Office applications (incl. Excel, PowerPoint, Visio, Word)
Experience with BI tools: Power BI, Qlik, Tableau.
Proven ability to work creatively and analytically in an innovative environment
Proven ability to support project work streams and good program management experience
Ability to interact and present to/with client executives, vendors and third-party providers
Results driven motivated team player
Excellent written and verbal communication and interpersonal skills
Certified Treasury Professional (ACT or similar) preferred
Availability to travel
Professional Skill Requirements:
Proven ability to build, manage and foster a team-oriented environment
Proven ability to work creatively and analytically in a problem-solving environment
Excellent leadership and management skills
#LI-NA #LI-MP