Job Description
📋 Description Own the Bank’s day-to-day funding and liquidity framework. Execute wholesale funding strategies. Manage pledged collateral across FHLB and Fed windows. Monitor liquidity position with daily/weekly/monthly reporting. Prepare baseline and stressed liquidity forecasts. Maintain Contingency Funding Plan and related docs. 🎯 Requirements Bachelor’s degree or equivalent practical experience. 10+ years in bank treasury funding, asset & liability management, or liquidity risk. Experience in a commercial bank, community bank, or bank holding company. Experience executing wholesale funding transactions and managing secured facilities. Experience producing liquidity reporting, forecasts, or stress-testing analyses. 🎁 Benefits Competitive compensation with base pay, bonus opportunities, and equity. Comprehensive health coverage and 401(k) with company match. Employee Stock Purchase Plan (ESPP) for eligible employees (US only). Wellness and other financial well-being resources. Paid time off, sick leave, and holidays. Onsite perks when working from Bay Area, Austin, Columbus, or NYC offices.