Liquidity & Treasury Architect – Commercial Banking

Pittsburgh, PA, US • Posted 5 hours ago • Updated 5 hours ago
Contract Independent
Contract W2
12 Months
Travel Required
On-site
Depends on Experience
Fitment

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Job Details

Skills

  • Treasury
  • TOGAF
  • Stress Testing
  • liquidity

Summary

Key Responsibilities

Treasury & Liquidity Architecture

Design target-state architecture for:
Liquidity Management
Cash Positioning
Intraday Liquidity Monitoring
Cash Pooling and Sweeps
Treasury Workstations
Asset Liability Management (ALM)
LCR, NSFR and regulatory liquidity reporting
Define enterprise data models for treasury and liquidity domains.
Architect real-time cash visibility and liquidity forecasting capabilities.
Commercial Banking Treasury Solutions

Lead architecture for:
Commercial Treasury Management
Cash Management Services
Payments & Collections
Account Concentration
Notional Pooling
Virtual Accounts
Corporate Treasury Portals
ERP Integration Solutions
Drive API-led treasury modernization initiatives.
Platform Modernization

Assess current-state treasury applications and define modernization roadmaps.
Architect cloud-native and microservices-based treasury platforms.
Integrate:
Core Banking
Payments Hubs
SWIFT
RTP/FedNow
ACH
Treasury Systems
Risk Platforms
Data Lakes
Risk & Regulatory Compliance

Ensure alignment with:
Basel III requirements
Liquidity Risk Management standards
Regulatory Reporting requirements
Audit and Governance controls
Support stress testing and liquidity scenario modeling.
Design security, access control, and audit frameworks.
Stakeholder Management

Engage with:
Treasury Business Teams
Corporate Banking Product Owners
Risk & Compliance
Operations
Technology Delivery Teams
External Vendors
Provide architecture leadership during strategic transformation programs.
Required Qualifications

Bachelor''s degree in Computer Science, Information Systems, Finance, or related field.
12+ years of banking technology experience.
5+ years in Treasury, Liquidity, Cash Management, or ALM domain architecture.
Strong commercial banking knowledge.
Required Domain Expertise

Treasury & Cash Management
Liquidity Management
ALM
Commercial Banking Products
Payments
Corporate Treasury Services
Regulatory Reporting
Interest Rate Risk Management
Working Capital Solutions
Treasury Operations
Technical Skills

Enterprise Architecture (TOGAF preferred)
Cloud Platforms (Azure/AWS/Google Cloud Platform)
Microservices & APIs
Event-Driven Architecture
Kafka / MQ
Data Architecture & Analytics
SQL/NoSQL
Security Architecture
Integration Architecture
Preferred Treasury Platforms

Experience with one or more:

FIS Quantum
Kyriba
Finastra
Murex
SAP Treasury
Oracle Treasury
Bloomberg
Treasury and ALM platforms
Preferred Certifications

TOGAF
AWS/Azure Architect
CFA (Preferred)
FRM (Preferred)
Certified Treasury Professional (CTP)
Success Metrics

Treasury platform modernization delivery
Liquidity reporting accuracy
Reduction in manual treasury operations
Improved liquidity forecasting capability
Regulatory compliance outcomes
Increased treasury automation
API adoption and integration efficiency

Employers have access to artificial intelligence language tools (“AI”) that help generate and enhance job descriptions and AI may have been used to create this description. The position description has been reviewed for accuracy and Dice believes it to correctly reflect the job opportunity.
  • Dice Id: 90868495
  • Position Id: 9045560
  • Posted 5 hours ago
Contact the job poster
RD

Raj Dhana

Recruiter @ P2PSoftTek Inc
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