Treasury Manager Liquidity Revolut
Overview
We seek a Treasury Manager to lead liquidity and funding management at Revolut. This role drives optimization of returns and shapes future finance strategy while collaborating across functions.
What You'll Do11
- 1Support Head of Treasury in developing and maintaining a best-in-class liquidity and funding management framework
- 2Work closely with Product Owners and Risk teams on liquidity forecasting and stress testing
- 3Analyze liquidity and funding risk including regulatory requirements such as LCR and NSFR
- 4Lead implementation of tools for data capture measurement and forecasting
- 5Review bank risk appetite for liquidity and funding exposures
- 6Support business growth by optimizing liquidity and funding needs
- 7Maintain liquidity and funding policies aligned with regulatory requirements
- 8Develop and diversify secured and unsecured funding programs
- 9Monitor financial market trends and their impact on funding strategy
- 10Design and manage the bank’s liquidity investment portfolio
- 11Collaborate with cross-functional teams to address ad-hoc requirements
Requirements11
- 12-3 days per week in New York office hybrid role
- 2Excellent problem-solving skills to break down complex issues
- 3Ability to work in high-performance environment delivering practical solutions
- 4Experience in liquidity and funding management within global banking
- 5Thorough understanding of US regulatory regimes
- 6Ability to interpret revised regulatory policy and communicate impacts
- 7Experience in top-tier financial institutions or fintech preferring treasury functions
- 8Nice to have expertise with European regulatory liquidity regimes
- 9Knowledge of liquidity stress-testing methodology
- 10Background in consultancy
- 11Compensation range New York $117,300 - $138,000 gross annually
Salary Insight
$117 - $138k per year
Similar open positions
Explore active roles that match your skills and interests.
BlackRock Investments
VerifiedTreasury Liquidity Management Associate, Fund Accounting
This role in the Treasury Liquidity Management team acts as the review and approval layer for daily liquidity monitoring, LP capital events, and credit facility documentation across the private markets platform. Reporting to a VP, the Associate challenges inputs, validates calculations, and determines resolution of cash shortfalls or excesses. The position oversees change initiatives, ensuring system and automation upgrades are tested and embedded without weakening controls. As the last line of defense before work reaches the client desk, your scrutiny reduces rework and sustains client confidence.
Polymarket
VerifiedSenior Treasury Manager Polymarket
Polymarket seeks a Senior Treasury Manager to lead treasury operations across regulated entities. This hands-on role involves managing liquidity banking relationships and settlement while partnering with compliance legal product payments and regulators to ensure regulatory adherence.
94-1687665 Bank of America, National Association
VerifiedSenior Finance Analyst Global Liquidity Management
Lead design and execution of bank-wide liquidity strategies across lines of business and legal entities. Influence optimal bank-wide liquidity approaches while managing stress scenarios. Provide actionable guidance to enhance liquidity positions and support regulatory compliance. Drive improvements in reporting processes and collaborate with cross-functional teams to achieve organizational goals.
94-1687665 Bank of America, National Association
VerifiedTreasury Sales Manager
Lead a talented team with global influence and drive growth across diverse treasury solutions. This role defines sales strategy and collaborates on treasury management activities while building impactful client relationships.
MUFG Bank, Ltd.
VerifiedTreasury Relationship Manager Sales FIG
Vice President Treasury Relationship Manager Sales FIG at MUFG Bank, Ltd. New York, NY onsite payroll. Seeking a professional to lead treasury sales for financial institutions.
MKS Inc.
VerifiedSenior Treasury Manager at MKS Inc.
We seek a Senior Treasury Manager to lead corporate finance treasury operations at MKS Inc. Boston based hybrid role focusing on cash management and risk mitigation. This position drives strategic financial initiatives delivering impact in a fast-paced environment.