Head of Treasury Americas

Rado BankNew York, NY
Hybrid

About The Position

Lead Treasury strategy across the Americas at a global, purpose-driven cooperative bank—shaping funding, liquidity, and balance sheet decisions that support sustainable growth. This role sits at the intersection of strategy and markets—you have real influence on outcomes while working with talented, collaborative colleagues. As Head of Treasury Americas, you will be successful by ensuring strong, compliant balance sheet management and funding strategies that support Rabobank’s North America businesses and long-term stability. This role leads Treasury activities across the Americas, with accountability for liquidity, funding, and balance sheet management. The position partners closely with Group Treasury, senior finance leaders, and regulators to translate global strategy into effective regional execution. It plays a critical role in maintaining market confidence, regulatory compliance, and financial resilience.

Requirements

  • Master’s degree in Finance, Economics, or a related field
  • 10+ years of relevant treasury, financial markets, or balance sheet management experience
  • Deep knowledge of liquidity, funding, and regulatory frameworks
  • Demonstrated experience leading and developing teams
  • Ability to travel regionally and Globally periodically

Responsibilities

  • Set and execute the regional liquidity, funding, and balance sheet management strategy in alignment with Group Treasury and North America business priorities.
  • Oversee short- and long-term funding programs across the Americas, balancing cost, tenor, currency, and investor diversification considerations.
  • Monitor and forecast capital, liquidity, and ALM positions, ensuring compliance with internal risk appetite and external regulatory requirements.
  • Provide senior-level oversight of liquidity buffer investments and securities finance activities, incorporating local market expertise and risk awareness.
  • Serve as a primary Treasury representative with regulators, supporting examinations and proactively addressing regulatory developments impacting the region.
  • Lead investor and rating-agency engagement in coordination with Group Treasury, including participation in roadshows and ongoing market dialogue.
  • Translate global balance sheet management and funding strategies into locally effective execution across U.S. and broader Americas entities.
  • Advise senior finance and business leadership on funding, liquidity, and balance sheet risks, trends, and strategic trade-offs.
  • Provide clear, timely communication on Treasury matters to executive management, governance committees, and boards.
  • Lead, develop, and inspire a high-performing Treasury team, fostering strong technical expertise, collaboration, and succession readiness.

Benefits

  • Medical, Dental and Vision plan coverages
  • 401(k) plan
  • 401(k) matching
  • Safe Harbor contribution
  • Discretionary Profit Sharing contributions
  • Generous paid time off program
  • Vacation time
  • Additional time off
  • Sick days
  • Paid holidays
  • Dollars for Doers program
  • Helping Hands program
  • Gift Matching program
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