Hybrid Project Manager (Liquidity/ Treasury)
Core
Lead end-to-end delivery of Treasury, Liquidity Risk, and Collateral Loans/Securities product initiatives while managing IT integration and defining target operating models.
Role type
Senior Hybrid Project Manager and Business Analyst (Treasury & Collateral)
Builds
Treasury and Collateral product features, IT integrations, and risk control frameworks for banking clients
Domain
Financial Services (Banking, Liquidity Risk, Collateral Management)
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Treasury product expertise, Liquidity Risk management, Collateral Loans/Securities knowledge, IT integration planning, Agile delivery, Requirements elicitation, Process mapping (BPMN), Stakeholder management, Risk and control framework implementation, UAT coordination
Preferred skills
Experience with Non-Financial Risk (NFR) controls, Cross-functional working group leadership, Senior management presentation skills
Technologies
Agile frameworks, BPMN, Project management tools, IT integration platforms
Responsibilities
Lead end-to-end project delivery for Treasury and Collateral initiatives, Develop detailed project plans and track progress, Elicit and document business and functional requirements, Map end-to-end processes and define target operating models, Facilitate cross-functional working groups between business and technology, Prepare high-quality papers and presentations for senior management
Seniority
Senior, hands-on IC