Senior Audit Manager - Corporate Treasury and Balance Sheet Review Royal Bank of CanadaSenior Audit Manager - Corporate Treasury and Balance Sheet ReviewJersey City, New Jersey$110,000–$190,000 / yearSpecifically, the Senior Audit Manager will support the audit team in the execution of audits related to IRRBB processes such as key assumptions (deposit decay, loan prepayments, etc.), sensitivity analysis of key assumptions, Net Interest Income (NII) and Economic Value of Equity (EVE) stress testing, risk identification, input and output controls, backtesting, and other processes related to IRRBB. Approximately 6-8 years of experience covering IRRBB processes such as key assumptions (deposit decay, loan prepayments, etc.), sensitivity analysis of key assumptions, Net Interest Income (NII) and Economic Value of Equity (EVE) stress testing, risk identification, input and output controls, backtesting, and other processes related to IRRBB.
NewTreasury Sales Client Officer Bank of AmericaTreasury Sales Client OfficerIselin, New JerseyIn this hybrid junior sales/treasury associate role, key responsibilities include actively managing and pursuing treasury revenue streams along with increasing product penetration across an assigned portfolio; partnering closely with client-facing teammates to consult on sales opportunities; as well as providing product expertise to deliver the best possible solution that meets the objectives of the client/prospect. Job expectations include serving a lead role in the coordination of complex Request for Proposal processes together with the Treasury Sales teams, building partnerships with business partners and key client decision makers, and completing portfolio business reviews with a focus on revenue realization.
Outsourced Accounting Senior - Treasury and Payment Solutions TAG EisnerAmper, LLC (Inactive)Outsourced Accounting Senior - Treasury and Payment SolutionsIselin, NJRemoteOur clients represent enterprises of every form, ranging from sophisticated financial institutions to startups, global public firms to middle-market companies, governmental entities as well as high-net-worth individuals, family offices, nonprofit organizations and entrepreneurial ventures across a variety of industries. You'll work closely with team members to deliver high-quality service, assist in managing multiple client engagements, and contribute to solutions that help clients streamline their treasury, accounts payable, and payment workflows.
Enterprise Credit Treasury Lending Underwriter I-II or Senior Bank of America CorpEnterprise Credit Treasury Lending Underwriter I-II or SeniorIselin, NJ$91,000–$150,000 / yearResponsibilities:Analyze, underwrite, and approve credit solutions for existing and new Treasury and card clients; approve Treasury and Card credit requests in accordance with applicable credit approval gridConduct credit analysis including financial spreads, risk rating scorecards, industry assessment, cash flow; complete Credit Approval documentationEvaluate credit worthiness and provide analysis and decisioning on whether a client should be approved for a Treasury or Card credit facilityEnsure underwriting complies with Bank credit policy and proceduresPartner with Relationship Managers, Treasury Sales Officers, and Risk teammates to assess and deliver Treasury and Card credit solutionsEnsure data quality of credit related client and deal informationMentor and assist junior team members as applicableSkills:Attention to DetailCredit and Risk AssessmentFinancial AnalysisUnderwritingWritten CommunicationsAnalytical ThinkingCredit Documentation RequirementsFinancial Forecasting and ModelingRecording/Organizing InformationBusiness AcumenCollaborationCollateral ManagementLoan StructuringPrioritizationRequired Qualifications:Minimum of 5-7 plus years of COMMERCIAL(Business Banking, Middle Market, Heath Education Not For Profit, Commercial Real Estate Banking, Dealer Financial Services, Global Wealth Investment Management) underwriting and credit analysis3 plus years of commercial credit decisioning experience with approval signature authorityFormal commercial credit training or equivalent work experience. Back to search results Enterprise Credit Treasury Lending Underwriter I-II or Senior Charlotte, North Carolina; Seattle, Washington; Atlanta, Georgia; Dallas, Texas; Iselin, New Jersey; Boston, Massachusetts; Chandler, Arizona; Providence, Rhode Island; New York, New York; Chicago, Illinois; Newark, Delaware; Ontario, California; Saint Louis, Missouri Additional locations Apply × To proceed with your application, you must be at least 18 years of age.
Treasury Sales Client Officer II Bank of America CorpTreasury Sales Client Officer IINew York, NY$107,000–$133,500 / yearBroad and deep familiarity with global treasury management products, services and trendsProven business development and relationship management skills with a corporate client setExcellent verbal/ written communication and presentation skillsProven negotiation and active listening skills with strong executive presenceAbility to foster strong partnerships within the core team and the ability to build sincere rapport with client contactsDesired Qualifications:B.S. or B.A. in finance, accounting, management, or another undergraduate degree preferredIntrinsically motivated to continuously improve processes and/or one's own educationAbility to lead small groups while effectively delegating tasksExercises the desire to mentor and sponsor other AssociatesCertified Treasury Professional certification or equivalentMulti-lingual skills preferredCoverage of global corporations in a comparable role is advantageous Skills:Account ManagementClient ManagementCustomer and Client FocusOral CommunicationsPresentation SkillsClient Solutions AdvisoryCritical ThinkingPortfolio AnalysisProblem SolvingRelationship BuildingActive ListeningCoachingCollaborationPrioritizationWritten CommunicationsShift:1st shift (United States of America)Hours Per Week: 40 Learn more about this role Apply × To proceed with your application, you must be at least 18 years of age. Participates in the Client Management Process that focuses on client relationship development from growth of new client relationships to deepening existing relationship through thoughtful identification of client needsBuilds relationships with internal business partners and key client decision makers and completes account/portfolio business reviewsEnsures service and fulfilment related requests/queries are directed to the relevant teams accordingly, responding to all client and partner requests in a timely manner, and keeping stakeholders up-to-date on progressMaintains pricing for clients (pricing changes, new services) and ensures all products and services are billed accordingly, while managing client escalations and keeping the internal team informedRequired Qualifications:Minimum 3 years of experience in comparable role i.e. TSA or TSO roleAbility to travel at least 5% of the time.
Junior Treasury Quant Researcher Hudson River TradingJunior Treasury Quant ResearcherNew York, NY$150,000–$200,000 / yearCollaborate with partners across Funding, Finance, and Engineering teams to integrate research and analytics into production systems, streamline cash and collateral workflows, and develop comprehensive metrics for funding, margin, and counterparty management. Build and enhance the quantitative components of HRT's Treasury Optimization Platform, including designing and developing optimization models to improve funding efficiency and collateral allocation across global markets.
Senior Associate, Fund Treasury Lord Abbett.comSenior Associate, Fund TreasuryJersey City, New Jersey$100,000–$120,000 / yearThe successful candidate will be expected to operate as a senior member of the Fund Treasury team, bringing strong technical knowledge, sound judgment, analytical discipline and the ability to work effectively across internal teams, service providers, auditors and other stakeholders. This individual will play a key role in strengthening Lord Abbett’s risk-based fund oversight model across financial reporting, regulatory reporting, NAV oversight, service-provider governance, and strategic fund initiatives.
Treasury Manager (Liquidity) Revolut LtdTreasury Manager (Liquidity)NY$117,300–$138,000 / yearExcellent problem-solving skills with the ability to break down complex issues into their component parts to identify the root cause, propose solutions, and gather support. They help set up our payment and financial risk management infrastructure by working across functions, products, and regions to centrally manage risks.
Treasury Technology, Kyriba Consultant, Manager PwCTreasury Technology, Kyriba Consultant, ManagerNew York, NY$99,000–$232,000 / yearYou will work closely with clients to analyse financial needs, develop strategies for capital structure optimization, manage liquidity and cash flow, and provide guidance on mergers and acquisitions, divestitures, and other financial transactions. PwC does not intend to hire experienced or entry level job seekers who will need, now or in the future, PwC sponsorship through the H-1B lottery, except as set forth within the following policy: https://pwc.to/H-1B-Lottery-Policy .
Treasury Technology, Kyriba Consultant, Senior Associate PwCTreasury Technology, Kyriba Consultant, Senior AssociateFlorham Park, NJ$77,000–$202,000 / yearOur team helps our clients maximise their available liquidity position and manage financial risk, such as foreign exchange rates, interest rate changes, and commodity price fluctuations, as well as make decisions around funding the core business operations and making investments to increase the value of the organisation to the shareholders. A career in our Corporate Finance and Treasury practice, within Finance Consulting services, will provide the opportunity to work alongside CEOs, CFOs, controllers and treasurers to optimise the structure of their finance functions and improve their contribution to the business.
Senior Manager, Treasury (Kyriba Experience Required) Workshare, Inc.Senior Manager, Treasury (Kyriba Experience Required)Holmdel, NJ$140,000–$170,000 / yearThe Senior Manager of Treasury is responsible for overseeing day-to-day treasury operations, including cash management, liquidity planning, banking relationships, and financial risk support. This role partners closely with Finance leadership and cross-functional stakeholders to ensure effective treasury operations aligned with company objectives.
AVP Treasury Risk & Controls Officer (RICO) Madison-DavisAVP Treasury Risk & Controls Officer (RICO)New York, NY$75,000–$97,000 / yearThe role offers broad ownership across operational risk management, KYC administration, regulatory monitoring, audit preparation, and Treasury governance framework development making it an ideal fit for a bilingual risk professional with Treasury product knowledge and a proactive, ownership-driven approach to internal controls. This AVP-level opportunity sits within the Treasury department of a well-established financial institution, serving as the dedicated first-line Risk and Internal Control Officer responsible for promoting sound risk governance, managing compliance obligations, and acting as the critical liaison between Treasury and second and third line functions.
Assistant Vice President, Global Treasury Oaktree Capital ManagementAssistant Vice President, Global TreasuryNew York, NY$150,000–$185,000 / yearResponsibilities include: Oversee end-to-end payment operations across domestic and cross-border transactions, ensuring accurate and timely settlement of high-value wire transfers, ACH batches, and intercompany flows while maintaining compliance with internal controls, banking agreements, and regulatory requirements (e.g., OFAC, FinCEN). Driving Results; self-motivated, sets aggressive timelines and objectives to drive results, conveys a sense of urgency, and drives issues to closure; self-starter committed to achieving results and has a strong sense of ownership and follow-through.
Treasury Manager P4PTreasury ManagerBrooklyn, New YorkThis position oversees cash management, banking activities, cash forecasting, debt administration, credit card programs, and a small Accounts Payable department while ensuring strong internal controls and efficient cash utilization. The Treasury Manager is responsible for the daily treasury operations of a multi-entity organization with approximately 15 active companies and numerous banking relationships.
NewTreasury Technology, FIS Implementation Consultant, Senior Associate PricewaterhouseCoopers LLPTreasury Technology, FIS Implementation Consultant, Senior AssociateFlorham Park, NJ$77,000–$202,000 / yearPwC does not intend to hire experienced or entry level job seekers who will need, now or in the future, PwC sponsorship through the H-1B lottery, except as set forth within the following policy: https://pwc.to/H-1B-Lottery-Policy . At PwC, we recognize that conviction records may have a direct, adverse, and negative relationship to responsibilities such as accessing sensitive company or customer information, handling proprietary assets, or collaborating closely with team members.
Senior Manager, Treasury Equinox Holdings IncSenior Manager, TreasuryNew York, NY$150,000–$160,000 / yearThe Treasury team works cross functionally to support all aspects of the organization - this individual should be a self-starter who is eager to roll up their sleeves, dive into details and drive decision making through financial analysis. As Senior Manager, Treasury, you will lead corporate cash management, liquidity planning, and financial risk mitigation and hedging, while ensuring an optimal capital structure and regulatory compliance.
FAAS-Global Treasury Services-Kyriba-Manager Ernst & Young Global LtdFAAS-Global Treasury Services-Kyriba-ManagerNew York, NY$128,400–$235,300 / yearIf you have a disability and either need assistance applying online or need to request an accommodation during any part of the application process, please call 1-800-EY-HELP3, select Option 2 for candidate related inquiries, then select Option 1 for candidate queries and finally select Option 2 for candidates with an inquiry which will route you to EY's Talent Shared Services Team (TSS) or email the TSS at ssc.customersupport@ey.com. Take ownership for delivery of high-quality work by supporting a broad range of Treasury projects which may include liquidity management, cash flow forecasting, risk management, Treasury technology, post-merger integration and organizational design.
FAAS-Global Treasury Services-Kyriba-Senior Ernst & Young Global LtdFAAS-Global Treasury Services-Kyriba-SeniorNew York, NY$97,300–$178,300 / yearIf you have a disability and either need assistance applying online or need to request an accommodation during any part of the application process, please call 1-800-EY-HELP3, select Option 2 for candidate related inquiries, then select Option 1 for candidate queries and finally select Option 2 for candidates with an inquiry which will route you to EY's Talent Shared Services Team (TSS) or email the TSS at ssc.customersupport@ey.com. The Global Treasury Services team is part of a highly collaborative global network, where resources, methodologies, tools and trends are constantly updated and shared to develop simple answers to complex treasury challenges.
Corporate Treasury, Mortgages Trader/Portfolio Manager, Vice President, New York The Goldman Sachs Group IncCorporate Treasury, Mortgages Trader/Portfolio Manager, Vice President, New YorkNew York, NY$130,000–$260,000 / yearThe division is ideal for collaborative individuals who have strong quantitative analysis skills and risk management capabilities since Treasury actively manages the firm's financial resources which are constantly changing due to business activity, markets, risk appetite, regulations and other factors. We''re committed to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally, from our training and development opportunities and firmwide networks to benefits, wellness and personal finance offerings and mindfulness programs.
Sales Officer III - Treasury Management City National BankSales Officer III - Treasury ManagementNew York, New YorkRemote$92,114–$156,880 / yearFull timeDevelops treasury management sales plans in conjunction with relationship managers, regional managers, banking office managers and line officers to support existing and develop new treasury management clients. Fosters ongoing relationships with all line units within assigned territory by providing product/service information, attending officer meetings, conducting comprehensive training sessions and supporting the line unit's business development and client retention efforts.