Ryan Mc Knight Ca(sa), Cftp
About Ryan Mc Knight Ca(sa), Cftp
Ryan McKnight is a Director at KPMG Australia, where he has worked since 2022. He has over 12 years of experience in financial risk management and has held various positions at KPMG and PwC across Australia and South Africa.
Work at KPMG Australia
Ryan Mc Knight has been serving as a Director at KPMG Australia since 2022. In this role, he focuses on developing solutions and governance frameworks to effectively manage financial risks. His responsibilities include working with various organizations to enhance their organizational capabilities in financial risk management. Prior to his current position, he held the role of Associate Director at KPMG Australia from 2019 to 2022, where he further honed his expertise in financial risk management.
Previous Experience at PwC Australia
Before joining KPMG Australia, Ryan Mc Knight worked at PwC Australia as a Manager in Treasury Risk Consulting. His tenure lasted for 8 months in 2018, during which he operated in Sydney. In this position, he contributed to advising clients on treasury risk management strategies, leveraging his extensive background in financial engineering.
Experience at KPMG South Africa
Ryan Mc Knight's career includes a significant period at KPMG South Africa, where he worked as a Manager in the Financial Engineering Group from 2012 to 2017. During his five years in Johannesburg, he developed expertise in financial engineering, focusing on complex financial issues faced by businesses and public sector organizations.
Education and Expertise
Ryan Mc Knight studied at the University of Cape Town, where he earned a Bachelor of Business Science in Accounting and Finance from 2007 to 2010. He furthered his education by obtaining a Post Graduate Diploma in Accounting and Finance from the same institution between 2010 and 2011. His academic background supports his specialization in financial risk management, derivatives, treasury, and energy markets.
Professional Specializations
Ryan Mc Knight specializes in developing solutions and governance frameworks to manage financial risks. With over 12 years of experience, he has worked with businesses, public sector organizations, and government decision-makers. His expertise encompasses financial risk management, derivatives, treasury, and energy markets, allowing him to address complex financial issues effectively.