Stride Bank, N.A.
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ALM & Treasury Manager
role at
Stride Bank, N.A.
Key Responsibilities
Prepares and analyzes ALCO reports; provides insights on liquidity and capital positions.
Conducts daily liquidity monitoring and early ACH tracking to identify trends and potential risks.
Performs liquidity and capital stress testing under various economic scenarios to assess the Bank’s resilience.
Develops and maintains Interest Rate Risk (IRR) models; performs assumption analysis and validates model accuracy.
Conducts research and analysis on securities investments, supporting investment decisions and portfolio management.
Manages monthly securities reporting and reconciliation processes, ensuring compliance with regulatory standards.
Collaborates closely with Finance, Treasury, and Risk Management teams to provide actionable insights.
Supports the preparation of materials for ALCO meetings and regulatory reporting, as required.
Performs other duties as assigned.
Qualifications
Bachelor’s degree in Finance, Economics, Accounting, or a related field, required.
5+ years’ experience in banking risk management, asset‑liability management, or treasury functions, required.
Strong understanding of liquidity management, interest rate risk modeling, and securities analysis.
Proficiency with financial modeling and reporting tools; knowledge of ALM software a plus.
Excellent analytical skills and attention to detail.
Strong communication skills to present complex information clearly to stakeholders.
Seniority Level
Mid‑Senior level
Employment Type
Full‑time
Job Function
Finance and Sales
Industries
Banking
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ALM & Treasury Manager
role at
Stride Bank, N.A.
Key Responsibilities
Prepares and analyzes ALCO reports; provides insights on liquidity and capital positions.
Conducts daily liquidity monitoring and early ACH tracking to identify trends and potential risks.
Performs liquidity and capital stress testing under various economic scenarios to assess the Bank’s resilience.
Develops and maintains Interest Rate Risk (IRR) models; performs assumption analysis and validates model accuracy.
Conducts research and analysis on securities investments, supporting investment decisions and portfolio management.
Manages monthly securities reporting and reconciliation processes, ensuring compliance with regulatory standards.
Collaborates closely with Finance, Treasury, and Risk Management teams to provide actionable insights.
Supports the preparation of materials for ALCO meetings and regulatory reporting, as required.
Performs other duties as assigned.
Qualifications
Bachelor’s degree in Finance, Economics, Accounting, or a related field, required.
5+ years’ experience in banking risk management, asset‑liability management, or treasury functions, required.
Strong understanding of liquidity management, interest rate risk modeling, and securities analysis.
Proficiency with financial modeling and reporting tools; knowledge of ALM software a plus.
Excellent analytical skills and attention to detail.
Strong communication skills to present complex information clearly to stakeholders.
Seniority Level
Mid‑Senior level
Employment Type
Full‑time
Job Function
Finance and Sales
Industries
Banking
#J-18808-Ljbffr