The Treasurer will direct the financial operations of the company including budgeting, planning, investing, liquidity, pricing model, and other financial matters. This role will determine and manage the tools utilized in asset liability management along with the office profitability and funds transfer pricing. The Treasurer will lead a team of finance experts to maintain important day to day financial operations and ensure the company’s financial health alongside the Chief Financial Officer. The objective of this role is to strengthen the accounting team and financial processes to enable the Bank and Company to continue to grow profitability, manage the balance sheet to create efficiencies and improve profitability to be a top tier organization, maintain and/or improve the bank’s net interest margin, oversee the bank’s balance sheet, managing interest rate risk, liquidity risk, yield curve risk, option risk, and other key aspects of asset/liability management, efficiently manage liquidity and allocate resources to optimize profitability, including overseeing cash position and payment of bank expenses (accounts payable), and work as a team to elevate the accounting function by implementing internal controls and policies for all financial activities for a public filing company. This role also aims to help customers, peers, and employees realize their best lives.
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Job Type
Full-time
Career Level
Manager