#2025-110562
degree in Finance, Accounting, Information Systems, or a related field.
5+ years of experience in treasury operations, financial automation, or fintech solutions.
Hands-on experience with TMS (e.g., Kyriba, FIS, SAP Treasury, GTreasury) and/or trade order management (e.g. Calypso, Bloomberg), and ERP integrations.
Strong knowledge of Operations, bank & custodian connectivity (SWIFT, API, host-to-host), and payment automation.
Experience with RPA tools (UiPath, Automation Anywhere) and data visualization platforms (Power BI, Tableau).
Proficiency in SQL, Python, Excel (VBA), and/or other automation tools.
Strong analytical, problem-solving, and project management skills.
Preferred:
Treasury certification (CTP, CFA, or FP&A) is a plus.
Experience working in multi-national corporations with complex treasury structures
Familiarity with blockchain-based payment solutions and AI-driven financial automation.
What you'll do:
Key Responsibilities
Treasury System Implementation & Optimization
Manage the implementation, enhancement, and maintenance of trade order, collateral management, treasury management systems, and other financial automation tools.
Work with IT, finance, and banking & custodial partners to integrate APIs, ERP systems, and electronic payment platforms.
Ensure automation of intraday liquidity monitoring, collateral management, cash positioning, next-day forecasting processes, and bank & custodian reconciliations.
Process Automation & Efficiency
Identify manual treasury tasks that can be automated, such as payment processing, cash reporting, and FX transactions.
Implement Alteryx, RPA (Robotic Process Automation) and AI-driven solutions to streamline operations.
Optimize bank & custodian connectivity (SWIFT, APIs, host-to-host integration) for real-time transaction processing.
Operations & Intraday Liquidity Optimization
Develop automated solutions for real-time cash & custody visibility and multi-bank reporting.
Support daily cash positioning, forecasting, collateral management, and intraday liquidity management using automation tools.
Ensure compliance with company investment and liquidity policies through automated controls.
Banking & Payments Automation
Maintain legal entity and accounting referential data within trade order management and treasury management systems
Troubleshoot issues with bank & custodian integrations, ensuring seamless and secure transaction processing.
Data Analytics & Reporting
Manage reference data for various treasury platforms including but not limited to wire transfer templates, securities master data, securities pricing, and counterparty maintenance.
Leverage BI tools (Power BI, Tableau, etc.) and automation to generate real-time treasury reports, dashboards, and key risk indicator monitors triggers.
Enhance data refinement capabilities for cash positioning and forecasting, and intraday liquidity management.
Compliance & Risk Management
Ensure treasury automation solutions comply with SOX, Dodd-Frank, AML, and other financial regulations.
Work closely with auditors and compliance teams to enhance internal controls.
In addition to the salary range, this position is also eligible for bonus or incentive opportunities
What's in it for you
At Schwab, you're empowered to shape your future. We champion your growth through meaningful work, continuous learning, and a culture of trust and collaboration-so you can build the skills to make a lasting impact. 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: