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Director Liquidity Management Jobs in Raleigh, NC

Treasury Director

Durham, NC · On-site

$200 - $250/hr

Manage daily liquidity, cash positioning, and liquidity forecasting to ensure optimal funding and capital deployment. * Oversee custody banking, trust structures, investment operations support, and ...

Treasury Director

Cary, NC · On-site

$160 - $200/hr

Oversee collateral management, margin movements, funding activities, and liquidity forecasting to ... Direct experience managing custody and trust accounts * Strong understanding of liquidity ...

Treasury Director

Durham, NC · On-site

$180 - $200/hr

Director Salary: $180,000 - $200,000 per year Job Details ----- What We Are Looking For: * This ... Manage daily and forecasted liquidity across custody and trust accounts to ensure sufficient ...

Director, Cash Management

Raleigh, NC · Hybrid

$154K - $205K/yr

... Director supports the Vice President of Global Treasury Operations and drives cash management ... Ensure that the companies and their subsidiaries have adequate liquidity at all times to meet ...

Director, Cash Management

Raleigh, NC · On-site

$154K - $205K/yr

... Director supports the Vice President of Global Treasury Operations and drives cash management ... Ensure that the companies and their subsidiaries have adequate liquidity at all times to meet ...

Director, Cash Management

Raleigh, NC · Hybrid

$154K - $205K/yr

... Director supports the Vice President of Global Treasury Operations and drives cash management ... Ensure that the companies and their subsidiaries have adequate liquidity at all times to meet ...

Quantitative Associate

Durham, NC · On-site

$125K - $140K/yr

You will work on high-impact projects that span our Public, Private, and Direct investment ... liquidity management. * Research, develop, and backtest systematic investment strategies in ...

You will work on high-impact projects that span our Public, Private, and Direct investment ... liquidity management. * Research, develop, and backtest systematic investment strategies in ...

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Director Liquidity Management information

What is the difference between Director Liquidity Management vs Treasury Manager?

AspectDirector Liquidity ManagementTreasury Manager
Primary FocusOversees overall liquidity strategy and risk managementManages daily cash flow, banking relationships, and short-term funding
CredentialsTypically requires advanced finance certifications (e.g., CFA, CPA)Often holds similar certifications but with more emphasis on operational skills
Work EnvironmentStrategic, high-level decision-making in corporate financeOperational, hands-on cash management in finance departments
Industry UsageCommon in large corporations and financial institutionsWidely used across industries for cash and treasury functions

The main difference is that the Director of Liquidity Management focuses on strategic liquidity planning and risk management, while the Treasury Manager handles daily cash operations and banking relationships. Both roles require financial expertise, but the director's role is more strategic and senior.

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For Director Liquidity Management jobs in Raleigh, NC, the most frequently searched job titles are:

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What cities near Raleigh, NC are hiring for Director Liquidity Management jobs?

Cities near Raleigh, NC with the most Director Liquidity Management job openings:

Infographic showing various Director Liquidity Management job openings in Raleigh, NC as of August 2026, with employment types broken down into 1% As Needed, 84% Full Time, 13% Part Time, and 2% Contract. Highlights an 86% Physical, 3% Hybrid, and 11% Remote job distribution.

Treasury Director

CFA Institute

Durham, NC • On-site

$200 - $250/hr

Other

Posted 17 days ago


Job description

Treasury Director

Location: Durham, NC

Hybrid

Overview

Our client is a rapidly growing, technology-enabled insurance and retirement solutions platform backed by a leading global alternative asset manager. The organization is focused on modernizing the annuity and life insurance industry through innovative digital capabilities, disciplined risk management, and strong investment expertise. With a collaborative, entrepreneurial culture and a commitment to operational excellence, the firm is expanding key finance and treasury capabilities to support continued growth. This role offers high visibility, strategic impact, and direct involvement in enterprise-wide liquidity and capital management initiatives.

The Role

The Treasury Director will play a critical leadership role within the Treasury function, reporting directly to senior treasury leadership and partnering closely with Finance, Investment Operations, Accounting, Risk, Legal, and external banking partners. This position is responsible for overseeing liquidity management, custody and trust account administration, collateral management, banking relationships, and treasury operations governance. The role will have significant influence on treasury strategy, cash management efficiency, and financial risk oversight.

Key Responsibilities
  • Lead treasury operations across custody accounts, trust accounts, banking relationships, and cash management activities.
  • Manage daily liquidity, cash positioning, and liquidity forecasting to ensure optimal funding and capital deployment.
  • Oversee custody banking, trust structures, investment operations support, and asset servicing processes.
  • Direct collateral and margin monitoring activities, including settlement and treasury-related derivative operations.
  • Partner with custodians, trustees, banks, and external counterparties to ensure efficient treasury and settlement operations.
  • Support implementation, optimization, and administration of Treasury Management Systems (TMS) and treasury automation initiatives.
  • Monitor FHLB membership, pledged collateral positions, borrowing capacity, and funding resources.
  • Assist with board, regulatory, rating agency, and management reporting related to liquidity and treasury matters.
  • Manage credit facilities, funding programs, and capital structure initiatives to support business growth.
  • Strengthen treasury controls, governance frameworks, segregation of duties, and operational risk management practices.
  • Identify process improvements and treasury solutions that enhance efficiency, connectivity, and scalability.
Requirements & Qualifications
  • Bachelor's degree in Finance, Accounting, Economics, or a related field.
  • 10+ years of treasury experience with direct exposure to custody accounts, trust accounts, liquidity management, and treasury operations.
  • Strong knowledge of custody banking, trust structures, investment operations, asset servicing, and cash management.
  • Experience working within insurance, asset management, financial services, or other highly regulated environments.
  • Proven track record managing banking counterparties, custodians, trustees, and cross-functional stakeholder relationships.
  • Leadership and management experience with the ability to drive complex initiatives across multiple business units.
  • Understanding of treasury regulations, liquidity risk management, and financial controls.
  • Strong analytical, problem-solving, organizational, and project management skills.
  • Excellent written and verbal communication skills with experience presenting to executive leadership and external stakeholders.
  • Advanced proficiency in Microsoft Office Suite, treasury systems, and financial reporting tools.
  • CPA, CFA, and/or MBA preferred.
Benefits
  • Competitive base salary + bonus structure
  • Comprehensive benefits package
  • Exceptional Culture & Employee Care
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