Funding & Liquidity Manager

Added
6 minutes ago
Type
Full time
Salary
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Related skills

treasury funding liquidity management bloomberg liquidity reporting
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📋 Description

  • Own the Bank’s day-to-day funding and liquidity framework.
  • Execute wholesale funding strategies.
  • Manage pledged collateral across FHLB and Fed windows.
  • Monitor liquidity position with daily/weekly/monthly reporting.
  • Prepare baseline and stressed liquidity forecasts.
  • Maintain Contingency Funding Plan and related docs.

🎯 Requirements

  • Bachelor’s degree or equivalent practical experience.
  • 10+ years in bank treasury funding, asset & liability management, or liquidity risk.
  • Experience in a commercial bank, community bank, or bank holding company.
  • Experience executing wholesale funding transactions and managing secured facilities.
  • Experience producing liquidity reporting, forecasts, or stress-testing analyses.

🎁 Benefits

  • Competitive compensation with base pay, bonus opportunities, and equity.
  • Comprehensive health coverage and 401(k) with company match.
  • Employee Stock Purchase Plan (ESPP) for eligible employees (US only).
  • Wellness and other financial well-being resources.
  • Paid time off, sick leave, and holidays.
  • Onsite perks when working from Bay Area, Austin, Columbus, or NYC offices.
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