ALM & Treasury Manager: Liquidity, Risk & Investments

American National bank of Texas

Plano (TX)

On-site

USD 110,000 - 170,000

Full time

14 days+
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Job summary

The American National Bank of Texas in Plano seeks an ALM Manager to lead asset and liability modeling, liquidity planning, and treasury operations. You will guide scenario planning, report design, and quality control across the treasury function to support regulatory compliance and strategic financial objectives.

Responsibilities include overseeing daily cash, investment portfolios, and municipal lending activities, as well as pricing deposits and reporting for public funds.

Qualifications

  • Bachelor's degree in a related field.
  • 5-7 years of experience in the field.
  • Bloomberg experience, strong data and analytical skills.
  • Expert knowledge of Microsoft Excel and PowerPoint.

Responsibilities

  • Responsible for the Asset & Liability Model (ALM) including all assumptions and testing, scenario planning, reporting and report design, and quality control.
  • Oversee daily cash function, liquidity planning and reporting
  • Assist with execution and management of investment portfolio, including mortgage-backed securities, collateralized mortgage obligations, agency debentures, corporate bonds and Treasuries.
  • Prepares, reviews and presents Treasury Reports
  • Oversee the Public Fund Funding Area, including pricing of deposits and bids, pledging and reporting.
  • Manages the municipal loan function including pricing loans, ongoing monitoring of the municipal loan portfolio and reporting.
  • Assist with the development of and pricing of deposit pricing strategies, rates and deposit reporting

Skills

Data analysis
Bloomberg experience

Education

Bachelor's degree in related field

Tools

Excel
PowerPoint

Job description

The American National Bank of Texas in Plano seeks an ALM Manager to lead asset and liability modeling, liquidity planning, and treasury operations. You will guide scenario planning, report design, and quality control across the treasury function to support regulatory compliance and strategic financial objectives.

Responsibilities include overseeing daily cash, investment portfolios, and municipal lending activities, as well as pricing deposits and reporting for public funds.

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