The successful candidate will partner closely with Treasury, Funding, Capital Markets, Trading, Middle Office, Finance, Risk, Technology, Operations teams, and external counterparties to ensure transactions settle accurately, funding obligations are met, regulatory requirements are satisfied, and operational risks are proactively mitigated. This position is responsible for end-to-end settlement support, fail management, TMPG compliance, new issue funding operations, underwriting support, and operational risk oversight across brokered CDs, bank notes, Treasury securities, and other fixed income products.