#2025-108572
n is responsible for maintaining the Cash Management systems, primarily GTreasury and Enterprise Payments Platform (EPP). The Sr Team Manager assures compliance with all internal policies and procedures that pertain to the cash management team, as well as all rules and regulations applicable to the position.
What you have
Required Qualifications
Bachelor's degree in Finance, Economics, or business related field
4+ years of working in a financial institution in Treasury or Financial Risk Oversight functions
Knowledge of financial institution's balance sheet and cash flow mechanics
Excellent communication and interpersonal skills, ability to challenge and interact cross-functionally
Proven ability to work effectively in a team environment
Accuracy, attention to detail and ability to maintain composure while dealing with tight time constraints
Strong process orientation and analytical skills
Ability to multi-task while maintaining composure in a potentially stressful environment
Knowledge of Treasury workstations, Fedwire, SWIFT and correspondent bank funds transfer systems
Intermediate skills in Excel essential, advanced skills preferred
Self-motivated, able to multi-task and perform under strict deadlines
Preferred Qualifications
6+ years of working in financial institution subject to Prudential Standards in
Extensive technical knowledge
Ability to interact effectively with management and external bank contacts to resolve operational issues and propose new business practices.
Treasury or Financial Risk Oversight functions
Knowledge of Treasury Workstations
A Master's degree in business related field or CFA/CTP/other related certification
Experience with automation tools such as UiPath, Tableau, Power-Automate or Alteryx
What you'll do:
Daily oversight, management, and performance reporting of the daily cash forecasting and cash management functions for each of the large subsidiaries. Serve as main point of contact on administrative or operational matters and ensures operational effectiveness and efficiency.
Regularly monitors, suggests, and implements improvements to further optimize cash management and cash concentration techniques to efficiently manage cash flows.
Evaluates and integrates treasury cash management products, services, and technologies that are available and appropriate for the team and firm overall.
Assist in the development of methodologies for cash forecasting of both Bank and Broker/Dealer cash flows
Enter and approve wire transfer requests
Prepare daily management reporting and ensure compliance with liquidity policies and guidelines
Maintain and enhance Treasury Workstations, primarily GTreasury and EPP
Encourage and support automation and modernization efforts
Adhere to policies and procedures to comply with the various regulatory agency requirements including the Federal Reserve Bank and FINRA as well as internal polices applicable to the cash management function
In addition to the salary range, this role is also eligible for bonus or incentive opportunities.
What's in it for you
At Schwab, we're committed to empowering our employees' personal and professional success. Our purpose-driven, supportive culture, and focus on your development means you'll get the tools you need to make a positive difference in the finance industry. Our Hybrid Work and Flexibility approach balances our ongoing commitment to workplace flexibility, serving our clients, and our strong belief in the value of being together in person on a regular basis.
We offer a competitive benefits package that takes care of the whole you - both today and in the future: