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3 часа назад

Director of Treasury Governance & Operations (Fintech)

115 000 - 140 000$
Формат работы
onsite
Тип работы
fulltime
Грейд
director
Английский
b2
Страна
US
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
Director of Treasury Governance & Operations (Fintech): Leading Treasury governance, operational risk management, regulatory compliance, and investment, liquidity, borrowing, derivative, and BOLI operations with an accent on control effectiveness, audit readiness, and executive reporting. Focus on managing RCSA and remediation programs, strengthening documentation and controls, coordinating regulatory examinations, and improving Treasury processes through automation and standardization.

Location: Columbus, Ohio, United States; onsite

Salary: $115,000–$140,000 annually plus bonus

Company

hirify.global is a financial services organization providing banking and treasury operations.

What you will do

  • Lead Treasury’s Risk & Control Self-Assessment program, including risk identification, control effectiveness assessments, issue remediation, and senior management reporting.
  • Serve as the Treasury governance and controls subject matter expert for operational risk, regulatory expectations, control design, and process improvement.
  • Coordinate internal and external audits, regulatory examinations, and second-line reviews, including response strategies and remediation tracking.
  • Design and maintain governance reporting, key risk indicators, control dashboards, documentation standards, and executive reporting for ALCO, senior leadership, and Board committees.
  • Support investment, borrowing, derivative, collateral, and BOLI operations, including settlements, reconciliations, confirmations, reporting, and accounting coordination.
  • Improve Treasury processes through automation, workflow standardization, data validation, and stronger documentation controls.

Requirements

  • Bachelor’s degree in Finance, Economics, Mathematics, Statistics, Banking, or a related field.
  • 8–12 years of experience in Treasury operations, finance operations, bank accounting support, risk and controls, audit support, governance, or related financial services functions.
  • Knowledge of interest rate curves, economic and central bank activity, bonds, derivatives, and other financial instruments.
  • Experience with analytical models, computer applications, documentation, reporting, and critical-thinking processes.
  • Ability to communicate complex concepts clearly, make sound decisions, collaborate across functions, and work with on-site equipment.
  • Ability to work onsite in Columbus, Ohio, and comply with applicable federal and state regulations.

Culture & Benefits

  • Work closely with executive management, Finance, Risk, Compliance, Internal Audit, Accounting, Vendor Management, and operational teams.
  • Participate in strategic initiatives that strengthen Treasury controls, scalability, and regulatory readiness.
  • Work in an inclusive environment committed to equal employment opportunity.
  • Eligibility for an additional bonus based on applicable factors.

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