Treasury Manager (Liquidity)

Location: Remote
Compensation: To Be Discussed
Reviewed: Mon, Apr 20, 2026
This job expires in: 24 days

Job Summary

A company is looking for a Treasury Manager (Liquidity).

Key Responsibilities
  • Support the development and maintenance of a liquidity and funding management framework
  • Collaborate with Product Owners and the Risk team to deliver liquidity analysis and regulatory requirements
  • Implement liquidity management tools for data capture, control, measurement, reporting, and forecasting
Required Qualifications
  • Experience in liquidity and funding management within global banking or financial services
  • Thorough understanding of US-based regulatory regimes
  • Ability to assess and interpret new/revised regulatory policies
  • Experience in a top-tier financial institution or fintech, preferably in treasury, finance, or risk functions
  • Structured approach with solid organizational skills to manage multiple projects

COMPLETE JOB DESCRIPTION

The job description is available to subscribers. Subscribe today to get the full benefits of a premium membership with Virtual Vocations. We offer the largest remote database online...