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Recruiting agencies must have a valid, written and fully executed Master Service Agreement and Statement of Work for consideration.
The Bank encourages candidates from highly regulated and governance-driven industries, including healthcare, insurance, government, or public-sector organizations, publicly traded companies, and professional services environments involving audit, compliance, or enterprise risk management. Banking experience is not required and will be taught to candidates with strong governance, documentation, and organizational skillsets.
Job Summary:
The Treasury & Strategy Integration Manager ensures that all asset liabilities committee ("ALCO") packets, Board reports, regulatory submissions, policies, and supporting memoranda are accurate, complete, professionally formatted, logically organized, and delivered on time. The role focuses on process integrity, document control, and workload coordination across Asset Liability Management ("ALM"), Liquidity Risk, and Investment Strategy functions.
Reporting directly to the EVP, Chief Strategy & Treasury Officer ("CSTO"), the Treasury & Strategy Integration Manager is responsible for coordinating, compiling, and maintaining the full suite of governance, regulatory and executive materials produced by the Strategy and Treasury organization. This role serves as the central point of control for documentation quality, organization, prioritization, and delivery, without creating, altering, or owning analytical content.
Essential Job Functions include, but are not limited to: