6 дней назад
Treasury Operations Manager (AI)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Treasury Operations Manager (AI) (treasury operations and financial services): Leading operational support, settlement, and control frameworks for large-scale debt and derivatives portfolios with an accent on automation, artificial intelligence, risk controls, and regulatory compliance. Focus on launching treasury products, approving high-value transactions, strengthening audit readiness, and developing a high-performing operations team.
Location: Plano, Texas, United States; onsite
Company
Financial Services supports and Lexus customers through financial and insurance products and operates within ’s global mobility business.
What you will do
- Lead operational readiness for new Treasury and Financial Savings Bank products from planning through execution.
- Implement automation and AI-enabled solutions to improve scalability, straight-through processing, reporting, and controls.
- Review and approve high-value treasury investments, debt issuances, and derivatives, including settlement and reconciliation with global counterparties.
- Develop policies, procedures, and control frameworks while leading internal and external audit support, SOX, and banking compliance activities.
- Partner with Treasury, Accounting, Tax, Legal, and IT on system enhancements and strategic programs.
- Coach and develop a high-performing team and participate in the Treasury Leadership Desk Rotation.
Requirements
- Bachelor’s degree in finance, accounting, business, or a related discipline.
- At least 5 years of experience in complex treasury operations, capital markets funding, debt servicing, derivatives, collateral management, cash management, or regulated financial processes.
- Hands-on experience managing and developing high-performing teams while remaining involved in daily operations.
- Experience with Treasury Management Systems such as Wallstreet Suite or FIS Quantum.
- Advanced Microsoft Office skills, especially Excel and PowerPoint, plus strong analytical, problem-solving, communication, and stakeholder management skills.
- Must already have the right to work in the United States and must not require current or future immigration sponsorship or work authorization support.
Nice to have
- MBA or another advanced degree.
- Certified Treasury Professional certification.
- Experience with banking operations, deposit products, liquidity management, or regulated financial institutions, including Financial Savings Bank.
Culture & Benefits
- Team-oriented, flexible, and respectful work environment.
- Professional development programs and tuition reimbursement.
- Health care, wellness plans, paid holidays, and paid time off.
- 401(k) plan with company match and an annual retirement contribution, where applicable.
- Vehicle purchase and lease programs, tax-advantaged accounts, family support services, and relocation assistance where applicable.
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