Enable job alerts via email!

Treasury Manager, Liquidity Management

KeyCorp

Ohio

Remote

USD 135,000 - 155,000

Full time

2 days ago
Be an early applicant

Boost your interview chances

Create a job specific, tailored resume for higher success rate.

Job summary

An established industry player is seeking a Treasury Manager to enhance liquidity management and stress testing processes. This role involves collaborating with various teams to ensure compliance with regulations and improve analytical frameworks. You will mentor junior staff and lead risk identification efforts, making a significant impact on the organization’s financial health. Ideal candidates will possess strong analytical skills and experience in treasury functions, with a passion for continuous learning and improvement. Join this dynamic team and contribute to shaping the future of liquidity management.

Qualifications

  • 5-7+ years of liquidity and/or treasury experience required.
  • Strong analytical and problem-solving skills are essential.

Responsibilities

  • Support liquidity stress testing and risk identification.
  • Collaborate with teams to analyze and report on liquidity metrics.

Skills

Analytical Skills
Critical Thinking
Problem-Solving
Advanced Excel Modeling
Python
R
SAS
SQL
VBA
Verbal Communication

Education

Bachelor's Degree
Master’s Degree (MBA, MS in Finance)

Job description

Treasury Manager, Liquidity Management page is loaded

Treasury Manager, Liquidity Management
Apply locations Remote, United States time type Full time posted on Posted 2 Days Ago time left to apply End Date: June 29, 2025 (30+ days left to apply) job requisition id R-32269

Location:

For Those Who Work At Home - Various, Ohio 44144

Job Summary:

The Treasury Manager will support the Director of Liquidity and Liquidity team in Corporate Treasury to execute the liquidity stress testing, risk identification, liquidity metrics monitoring, and reporting activities.

Responsibilities:

  • Be a Subject Matter Expert (SME) in liquidity for Corporate Treasury with knowledge of liquidity management and requirements under Reg YY, OCC bulletins, and FRB SR letters
  • Conduct analysis for monthly internal liquidity stress testing (ILST) and perform independent control checks to ensure the accuracy of results
  • Develop and maintain analytical framework and periodic updates to the key ILST assumptions
  • Drive stress testing enhancements and prepare materials for the ILST Change Management governance framework
  • Assist in development and review of liquidity dashboard and annual calibration of liquidity limits and metrics for governance committees and stakeholders
  • Lead the quarterly risk identification process with the line of business partners to identify emerging risks and incorporate in ILST framework
  • Knowledge of 2052a reporting and Operational Deposit Methodologies: expectation to partner with Regulatory Reporting team to drive process improvements
  • Collaborate with Corporate Treasury and FP&A teams to analyze and report on forecasted liquidity position and metrics
  • Collaborate with Corporate Treasury Oversight (CTO, second line of defense), Model Risk Oversight (MRO, second line of defense) and the Risk Review Group (third line of defense) to maintain proper oversight and governance of liquidity-related risks.
  • Maintain and enhance liquidity related documentation and foster an effective control environment to ensure compliance with internal policies and procedures and regulatory standards
  • Mentor junior teammates on core processes and broader Treasury related concepts
  • Assist with regulatory exams and ad hoc requests related to liquidity (e.g., Annual Horizontal Liquidity Review (HLR), Regulatory Ongoing Monitoring, etc.…)

Educational Qualifications:

  • Bachelor's Degree in a relevant field of study or equivalent work experience required; Master’s Degree (MBA, MS in Finance, Statistics or a quantitative discipline) preferred

Experience:

  • 5-7+ years of liquidity and/or treasury experience at a bank, regulated financial institution or consulting experience

Required Skills:

  • Demonstrates strong analytical, critical thinking, and problem-solving skills including experience with advanced Excel modeling
  • Possesses knowledge of industry best practices and liquidity-related regulations
  • Displays strong verbal and presentation skills
  • Exhibits team-orientation and a curiosity to learn
  • Demonstrates aptitude and interest in programming and other advanced analytical skills (e.g., Python, R, SAS, SQL, VBA etc.) to analyze data and automate processes

COMPENSATION AND BENEFITS

This position is eligible to earn a base salary in the range of $135,000 to $155,000 annually depending on location and job-related factors such as level of experience. Compensation for this role also includes eligibility for short-term incentive compensation and deferred incentive compensation subject to individual and company performance.

Please click here for a list of benefits for which this position is eligible.

Key has implemented a role-based Mobile by Design approach to our employee workspaces, dedicating space to those whose roles require specific workspaces, while providing flexible options for roles which are less dependent on assigned workspaces and can be performed effectively in a mobile environment. As a result, this role may be Mobile or Home-based, which means you may work primarily either at a home office or in a Key facility to perform your job duties.

Job Posting Expiration Date: 06/29/2025KeyCorp is an Equal Opportunity Employer committed to sustaining an inclusive culture. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability or veteran status.

Qualified individuals with disabilities or disabled veterans who are unable or limited in their ability to apply on this site may request reasonable accommodations by emailing HR_Compliance@keybank.com.


# LI-Remote

Similar Jobs (5)
Risk Manager - Foreign Exchange (FX)
locations Remote, United States time type Full time posted on Posted 6 Days Ago time left to apply End Date: June 1, 2025 (24 days left to apply)
Senior Audit Strategist - Enterprise Risk Management (ERM)
locations 2 Locations time type Full time posted on Posted 8 Days Ago time left to apply End Date: May 30, 2025 (22 days left to apply)
Risk Analyst - Fraud Risk Management
locations Remote, United States time type Full time posted on Posted 14 Days Ago time left to apply End Date: May 23, 2025 (15 days left to apply)

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.

Similar jobs

Treasury Manager

Scopely

San Francisco

Remote

USD 118,000 - 174,000

7 days ago
Be an early applicant

Senior Treasury Manager- Americas

ACCA Careers

Tallahassee

Remote

USD 110,000 - 177,000

4 days ago
Be an early applicant

Treasury Manager

Creative Financial Staffing (CFS)

Chicago

Remote

USD 120,000 - 140,000

5 days ago
Be an early applicant

Product Director, Treasury

Aspire

Singapore

Remote

USD 80,000 - 150,000

12 days ago

Senior Acquisition Specialist - CBP (Clearance Required)

LMI Government Consulting

Remote

USD 95,000 - 167,000

Yesterday
Be an early applicant

Senior Strategic Finance Associate

Underdog Fantasy

Remote

USD 128,000 - 150,000

Yesterday
Be an early applicant

Treasury Consulting Manager (remote)

RSM US LLP

Town of Texas

Remote

USD 107,000 - 215,000

4 days ago
Be an early applicant

Individual Tax Manager- CPA or EA, CPA firm experience required

Wheeler Accountancy LLP

San Jose

Remote

USD 135,000 - 185,000

3 days ago
Be an early applicant

Sr. Business Strategist

Blue Yonder

Town of Texas

Remote

USD 130,000 - 145,000

4 days ago
Be an early applicant