Treasury Strategy & Governance Lead

Usbank

Minneapolis (MN)

On-site

USD 133,000 - 157,000

Full time

14 days+
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Benefits offered by this job

Healthcare (medical, dental, vision)
401(k) and employer-funded retirement
Paid vacation
Paid holidays

Job summary

U.S. Bank in Minneapolis is seeking a Corporate Treasury Business Manager to partner with Treasury leadership and drive strategic priorities.

The role requires strong governance, risk management coordination, and the ability to influence across Risk, Finance, Compliance, Audit, Legal, Operations, and Technology. The successful candidate will lead project and change management, financial planning, executive reporting, issue management, and process improvement, with a proven track record in

Qualifications

  • Master's degree or equivalent work experience
  • 10+ years of experience in project management activities
  • Two or more years of experience supporting Corporate Treasury or related functions, including funding, liquidity, derivatives, investments, balance sheet management, capital markets, or enterprise risk

Responsibilities

  • Support development and execution of Treasury strategic priorities and annual objectives.
  • Prepare executive presentations, management reports, dashboards, and governance materials.
  • Identify opportunities to improve operational efficiency and organizational effectiveness.
  • Serve as a trusted advisor to Treasury leaders on business management matters.
  • Problem-solve issues that arise in the normal course of business.
  • Lead coordination of Treasury governance, risk assessments, issue management, and control-related activities in partnership with Risk and Compliance.
  • Serve as the primary Treasury coordinator for audit, compliance, and regulatory requests, including gathering materials, managing commitments, and ensuring timely, complete responses.
  • Track, elevate, and report on action plans and remediation arising from audits, regulatory examinations, risk assessments, and self-identified issues through closure.
  • Lead Treasury business initiatives from planning through implementation.
  • Coordinate stakeholder engagement, project governance, communications, and milestone tracking.
  • Support implementation of regulatory, technology, and process improvement initiatives.
  • Support annual planning, forecasting, expense management, and financial reporting activities.
  • Coordinate invoice approvals, procurement requests, and vendor management processes.
  • Assist with third-party risk management and contract administration activities.
  • Operate effectively in a fast-paced, deadline-driven environment with strong organization, time management, and communication skills.
  • Work effectively in a team-oriented environment.
  • Serve as a subject-matter resource and provide guidance to junior team members as needed.

Skills

Project management
Stakeholder management
Regulatory coordination
Change management
Executive reporting
Process improvement

Education

Master's degree, or equivalent work experience

Job description

U.S. Bank in Minneapolis is seeking a Corporate Treasury Business Manager to partner with Treasury leadership and drive strategic priorities.

The role requires strong governance, risk management coordination, and the ability to influence across Risk, Finance, Compliance, Audit, Legal, Operations, and Technology. The successful candidate will lead project and change management, financial planning, executive reporting, issue management, and process improvement, with a proven track record in

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