Manager, Cash Flow Forecasting and Funding Management
Western Alliance Bank(2 months ago)
About this role
A Manager, Cash Flow Forecasting and Funding Management at Western Alliance Bancorporation sits within Corporate Treasury’s Balance Sheet Management function. The role supports the firm’s transition toward Large Financial Institution status by focusing on firm- and legal-entity level cash and liquidity oversight and funding strategy. The manager reports to the Director of Wholesale Funding and Liquidity and partners with senior management and other treasury teams.
Required Skills
- Cash Forecasting
- Intraday Liquidity
- Funding Execution
- Collateral Management
- Liquidity Reporting
- Stress Testing
- Regulatory Knowledge
- Stakeholder Management
- Project Management
- Analytical Skills
+1 more
Qualifications
- Bachelor's Degree in Finance, Accounting, or Related Discipline
About Western Alliance Bank
westernalliancebancorporation.comWestern Alliance Bank offers a wide range of commercial and business banking solutions including loans, lines of credit, and more. Get in touch with us today.
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