A company is looking for a Treasury Manager.
Key Responsibilities
Lead the Asset Liability Management strategy, managing cash and liquidity forecasts
Manage risk metrics for liquidity, interest rate risk, and capital management
Oversee the firm's investment portfolio and contribute to forecasting and stress testing
Required Qualifications
Bachelor's degree in Finance, Accounting, or Economics; Master's or CFA preferred
5+ years of treasury experience at a bank
Experience managing cash, liquidity, and fixed income investments
Knowledge of statistical methods and strong proficiency in MS Excel, Python, SQL, and Bloomberg
Self-starter with a desire for career growth
Treasury Manager • New York, New York, United States