San Antonio, North Carolina, United States of America
Full Time
2 hours ago
$77,120 - $147,390 USD
Visa Sponsor
Key skills
Risk ManagementCommunication
About this role
Role Overview
Develops, implements and monitors liquidity management strategies at the enterprise and line of business levels
Provides analysis and support in the execution of complex liquidity and financial initiatives
Prepares liquidity analysis and reporting to governance committees, senior management, regulatory bodies and the USAA Board of Directors
Ensures all activities are completed within compliance and regulatory policies and processes
Executes the preparation of liquidity policies and comprehensive contingency funding plans
Advises key stakeholders on liquidity management issues according to industry best practices
Conducts analysis and provides recommendations to senior analysts and management for submission to governance committees if a risk tolerance is exceeded
Requirements
Bachelor’s degree; OR 4 years of related experience may be substituted in lieu of degree
4 years of related experience in Finance, Risk Management, Treasury, Capital and Liquidity Management and/or Accounting
Proficient knowledge of Microsoft Office products including Excel
Proven ability to effectively influence and build cross-functional relationships with employees of various levels throughout the organization
Strong written and verbal communication skills, including the ability to create and present executive-level presentations
Ability to effectively work with both internal and external partners.
Benefits
comprehensive medical, dental and vision plans
401(k)
pension
life insurance
parental benefits
adoption assistance
paid time off program with paid holidays plus 16 paid volunteer hours