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Manager Liquidity Risk Management Jobs in Dallas, TX

Establish governance for cash, liquidity, and financial risk management in a standalone environment * Support Day 1 readiness, including TSA management, bank account transitions, and treasury ...

The Director, Treasury will lead the design and execution of Pizza Hut's global treasury function, including liquidity management, capital structure, banking strategy, and financial risk management.

Director, Treasury

Plano, TX · On-site

$150 - $250/hr

The Director, Treasury will lead the design and execution of Pizza Hut's global treasury function, including liquidity management, capital structure, banking strategy, and financial risk management.

New

Credit Risk, Liquidity Risk, Market Risk, Capital Management/Stress Testing * Knowledge of financial services business models, products, and services * Experience in banking, digital assets, or ...

Strong knowledge of risk management functions, specifically financial risk (e.g., liquidity/treasury, market, counterparty credit risk) and related non-financial risk (e.g., model, operational) and ...

The Audit Manager contributes to the overall success of the Audit Function in support of the Audit ... g., liquidity/treasury, market, counterparty credit risk) and related non-financial risk (e.g ...

Strong knowledge of risk management functions, specifically financial risk (e.g., liquidity/treasury, market, counterparty credit risk) and related non-financial risk (e.g., model, operational) and ...

Financial Risk Management * Identify, assess, and mitigate financial risks related to liquidity, interest rates, and credit exposure. * Oversee trade finance including surety bonds, bank guarantees ...

Financial Risk Management * Identify, assess, and mitigate financial risks related to liquidity, interest rates, and credit exposure. * Oversee trade finance including surety bonds, bank guarantees ...

Treasurer

Dallas, TX · On-site

$160 - $260/hr

Financial Risk Management* Identify, assess, and mitigate financial risks related to liquidity, interest rates, and credit exposure.* Oversee trade finance including surety bonds, bank guarantees ...

Showing results 21-40

Manager Liquidity Risk Management information

See Dallas, TX salary details

$43K

$102.6K

$165.7K

How much do manager liquidity risk management jobs pay per year?

As of Aug 15, 2026, the average yearly pay for manager liquidity risk management in Dallas, TX is $102,587.00, according to ZipRecruiter salary data. Most workers in this role earn between $71,700.00 and $130,600.00 per year, depending on experience, location, and employer.

What is the difference between Manager Liquidity Risk Management vs Liquidity Analyst?

AspectManager Liquidity Risk ManagementLiquidity Analyst
ResponsibilitiesOversees liquidity risk policies, manages teams, develops strategiesAnalyzes liquidity data, monitors cash flows, prepares reports
Required CredentialsBachelor's degree, often CFA or FRM, experience in risk managementBachelor's degree, finance or related field, strong analytical skills
Work EnvironmentManagement level, strategic planning, cross-department collaborationAnalytical, data-driven, primarily office-based
Industry UsageCommon in banking, financial services, and asset managementWidely used in banking, investment firms, and financial institutions

The main difference is that the Manager Liquidity Risk Management focuses on leading liquidity risk strategies and managing teams, while the Liquidity Analyst concentrates on analyzing data and monitoring liquidity metrics. Both roles are essential in financial institutions but differ in scope and seniority.

What are the most commonly searched types of Liquidity Risk Management jobs in Dallas, TX?

The most popular types of Liquidity Risk Management jobs in Dallas, TX are:

What are popular job titles related to Manager Liquidity Risk Management jobs in Dallas, TX?

For Manager Liquidity Risk Management jobs in Dallas, TX, the most frequently searched job titles are:

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The top searched job categories for Manager Liquidity Risk Management jobs in Dallas, TX are:

What cities near Dallas, TX are hiring for Manager Liquidity Risk Management jobs?

Cities near Dallas, TX with the most Manager Liquidity Risk Management job openings:

Infographic showing various Manager Liquidity Risk Management job openings in Dallas, TX as of June 2026, with employment types broken down into 4% As Needed, 87% Full Time, and 9% Part Time. Highlights an 84% Physical, 6% Hybrid, and 10% Remote job distribution, with an average salary of $102,587 per year, or $49.3 per hour.

Director, Treasury

Yum

Plano, TX • On-site

Full-time

Posted 11 days ago


Job description


The Director, Treasury will lead the design and execution of Pizza Hut's global treasury function, including liquidity management, capital structure, banking strategy, and financial risk management.
As Pizza Hut transitions to a standalone company, this role will be critical in establishing a right-sized, independent treasury capability, including building processes, governance, and external relationships previously supported through Yum! infrastructure.
This position requires a hands-on leader who can balance strategic financial stewardship with operational execution, ensuring strong cash management, ample liquidity, risk mitigation, and support of business priorities
Responsibilities
Treasury Strategy & Standalone Build
  • Design and implement the standalone treasury operating model, including policies, processes, systems, and controls previously supported by Yum!
  • Establish governance for cash, liquidity, and financial risk management in a standalone environment
  • Support Day 1 readiness, including TSA management, bank account transitions, and treasury infrastructure build

Liquidity & Cash Management
  • Oversee global cash positioning, forecasting, and liquidity planning
  • Optimize cash movement, bank account structures, and funding strategies across markets
  • Ensure effective short- and long-term cash forecasting in partnership with FP&A
  • Support business needs through efficient cash deployment across entities and geographies
  • Manage ongoing global bank account administration, including account openings and closings, signatory maintenance, and periodic account audits
  • Support treasury regulatory and banking compliance requirements, including FBAR filings, KYC refreshes, and related documentation management

Banking & External Relationships
  • Establish and manage core global banking relationships, including selection, onboarding, and ongoing performance management
  • Negotiate and manage banking services, fees, and contracts
  • Build appropriate global banking structure (accounts, pooling, access, controls)

Capital Structure, Financing & Treasury Management
  • Support development and execution of an optimal capital structure for a standalone Pizza Hut, balancing liquidity, financial flexibility, credit profile, and cost of capital
  • Partner with CFO and leadership to evaluate debt capacity, leverage targets, credit facilities, and financing strategies
  • Support refinancing, recapitalization, restructuring, and other strategic transaction activities
  • Manage treasury activities related to debt capital markets, including debt issuance, portfolio management, covenant compliance, and maturity profile optimization
  • Maintain relationships with banking partners, lenders, rating agencies, and external advisors to support efficient access to capital
  • Support liquidity planning, cash flow forecasting, and capital allocation decisions
  • Develop and execute FX, interest rate, and liquidity risk management strategies aligned with company risk tolerance
  • Monitor global financial exposures and implement hedging strategies where appropriate
  • Track market conditions and macroeconomic trends to proactively manage financing and treasury risk

Cross-Functional Partnership
  • Partner closely with Tax, Controllership, FP&A, Legal, and business teams to support:
  • Cash repatriation and entity structure decisions
  • Compliance and reporting requirements
  • Provide treasury expertise to support broader strategic and operational decisions

Controls, Compliance & Reporting
  • Establish appropriate treasury controls and compliance frameworks, including SOX-related processes where required
  • Ensure compliance with debt covenants and financing agreements
  • Develop reporting for leadership on liquidity, risk exposure, and capital structure

Qualifications
Minimum Requirements
  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • 10-12+ years of treasury, banking, or corporate finance experience
  • Strong experience in cash management, banking relationships, and financial risk management
  • Experience with capital structure, debt financing, or capital markets strongly preferred
  • Demonstrated ability to operate in lean or transformation environments, including building or enhancing treasury processes
  • Strong analytical, problem-solving, and financial modeling capabilities
  • Proven ability to influence senior stakeholders and partner cross-functionally