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)
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