What we do?
KPMG is a global network of professional services firms providing Audit, Tax and Advisory services. Across 143 countries and territories, 265 000 KPMG people deliver cutting-edge solutions for a huge range of clients, from leading brands to public bodies, global multi-nationals and local businesses. Given our strong prospects for continued growth and success, we are looking for experienced professionals to join our team and grow with us, in order to meet the needs of our expanding client base.
Financial management and treasury consulting services include services related to the development and implementation of solutions in the field of corporate treasury management, financial planning and analysis, business analytics and management accounting, assist our clients in the automation of treasury business processes, develop a methodological foundation for the optimization of the financial and treasury function.
We are seeking a Senior Consultant to join our team.
Responsibilities:
• Management of a stream of projects and the team of this project;
• Design solutions to the project tasks in terms of development and optimization of the treasury function
• Participation in the development of the Treasury function in the Caspian region (participation in tenders, preparation of presentations, proposals for the development of the function, etc.);
• Quality control of all documents prepared by the directly reporting team
• Compliance and enforcement of the established risk management requirements.
Requirements:
• Bachelor/Master degree from a leading Kazakhstani or abroad university (Finance, Mathematics, Statistics Economics, Accounting or IT degree);
• Minimum 2-3 years’ experience as a financial specialist in the areas: treasury/ financial reporting/ management reporting. Preferable experience as management consultant from a Big 4 or consulting companies including ERP system integrators (SAP, 1C, Oracle etc);
• Automation of the treasury function and development of functional requirements for the system are an advantage;
• Experience in leading a team of 2 people or more;
• Advanced user of MS Excel and PowerPoint;
• Relevant professional qualification or (CTP/ ACT/ ACCA/ CIMA/ CMA/ SAP FI/ TRM) is an advantage;
• Readiness for business trips.
Knowledge and hard skills:
• Knowledge of financial management, financial reporting, and management accounting
• Knowledge of treasury operations and processes
• Knowledge of financial risk management (advantage)
• ERP implementation experience (advantage)
• Financial modelling, programming skills (advantage)
• Writing and speaking skills English (B2).
What we offer?
• Full-time employment contract with high-quality benefits, including health and life insurance;
• Comprehensive remuneration package, including annual bonus (based on KPI);
• 30 days of paid annual leave and an additional 5 sick leaves per year;
• Working in a highly professional, stimulating ang challenging work environment for the company with strong position on the worldwide market;
• A wide range of training and development programs, including access to LinkedIn Learning – a platform that offers a broad array of courses to enhance your skills and knowledge;
• Prestigious BRAVO award for our most outstanding performers;
• Generous referral program: refer a talented friend to join our team, and you can reap the rewards;
• High-level corporate events, fostering connections and providing opportunities for personal and career growth;
• Opportunities for further development of professional skills through participation in diverse projects with international focus;
• Transparent path of career growth with possibility to speed up your progress with double promotions;
• Regular English practice at work, fostering linguistic proficiency and enhancing your communication skills.
Core skills:
Treasury Management, Treasurer, Treasury function, Cash management, Liquidity management, Cash flow and Liquidity forecast, Cash flow, Financial Controlling, Payment execution, Project management, Currency regulations and laws, Shared Service Center, Bank Client
MS Excel, MS PowerPoint, MS PivotTable, Financial modeling
Budgeting, Cash flow budget, Financial statements
1C: ERP, SAP ERP, ORACLE