Our client, a Growing Bank, is looking for a Senior Treasury Manager to join their growing team.
Position location is Morristown, NJ; Pasadena, CA; or Raleigh, NC
Our Client is seeking a strong, dynamic candidate with in-depth knowledge of Liquidity and its associated regulatory environment (EPS Reg YY) who can drive change and manage multiple responsibilities within the Liquidity Reporting & Analytics team of the Treasury Department. The role requires a strong background within Liquidity, Funding, ALM, and overall balance sheet management. The candidate will report to the Director of Liquidity Reporting and Analytics and will be responsible for analyzing and calculating a suite of Liquidity and Funding metrics and ensuring they are calibrated appropriately to properly manage liquidity risk. The position will take a lead role managing and maintaining Liquidity policies, standards, and other governance documents in order to comply with regulatory guidelines as well as other firmwide polices. The role will require a thorough understanding of contingency funding plans and will manage the annual CFP testing process to ensure compliance as well as the firm’s ability to activate the plan as necessary. This person will also be expected to interact with Liquidity Risk Oversight team as they provide review and challenge to the Liquidity Team’s various business processes. Additionally, the candidate must have the ability to generate strong presentations and effectively communicate with peers as well as senior management.