Treasury ALM and Balance Sheet Management (TREAB) The TRE ALM and Balance Sheet Management team has responsibility for IBRD, IDA, and IFC asset-liability management. This includes managing and ...
Treasury ALM and Balance Sheet Management (TREAB) The TRE ALM and Balance Sheet Management team has responsibility for IBRD, IDA, and IFC asset-liability management. This includes managing and ...
Treasury Manager
Atlanta, GA · On-site
The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
Treasury Manager
Atlanta, GA · On-site
The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
Treasury Manager
Atlanta, GA · On-site
$120 - $190/hr
Position Summary The Treasury Manager will contribute across key Front, Middle, and Back Office ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
Treasury Manager
Atlanta, GA · On-site
$120 - $190/hr
Position Summary The Treasury Manager will contribute across key Front, Middle, and Back Office ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
Liquidity Management Cash Positioning Intraday Liquidity Monitoring Cash Pooling and Sweeps Treasury Workstations Asset Liability Management (ALM) LCR, NSFR and regulatory liquidity reporting Define ...
Liquidity Management Cash Positioning Intraday Liquidity Monitoring Cash Pooling and Sweeps Treasury Workstations Asset Liability Management (ALM) LCR, NSFR and regulatory liquidity reporting Define ...
Treasury Manager
Atlanta, GA · On-site
The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
Treasury Manager
Atlanta, GA · On-site
The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
AVP - CRO Support
New York, NY · On-site
We are looking for someone with a Master's degree in a relevant discipline, 5 years of relevant work experience, with at least 3 years in liquidity/treasury/ALM/other related risk management function ...
AVP - CRO Support
New York, NY · On-site
We are looking for someone with a Master's degree in a relevant discipline, 5 years of relevant work experience, with at least 3 years in liquidity/treasury/ALM/other related risk management function ...
Treasury Manager
Atlanta, GA · On-site
The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
Treasury Manager
Atlanta, GA · On-site
The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions ... Key activities include cash and liquidity planning, ALM framework implementation, financial ...
About The Role The Treasury & ALM & Balance Sheet Strategy Manager is a key finance leader responsible for overseeing the credit union's treasury function while providing enterprise-wide financial ...
About The Role The Treasury & ALM & Balance Sheet Strategy Manager is a key finance leader responsible for overseeing the credit union's treasury function while providing enterprise-wide financial ...
Manager Balance Sheet Strategy - Interest Rate Derivatives, Hedging and BDA Management
Lone Tree, CO · On-site
$85K - $174K/yr
As Corporate Treasury expands derivatives capabilities, you will help implement new hedging strategies and ALM initiatives while ensuring disciplined execution in a controlled environment across ...
Manager Balance Sheet Strategy - Interest Rate Derivatives, Hedging and BDA Management
Lone Tree, CO · On-site
$85K - $174K/yr
As Corporate Treasury expands derivatives capabilities, you will help implement new hedging strategies and ALM initiatives while ensuring disciplined execution in a controlled environment across ...
Asset & Liability Sr. Analyst
Boston, MA · Hybrid
$109K - $141K/yr
The Senior Treasury Asset and Liability Management (ALM) Analyst performs a critical role in supporting the bank's balance sheet risk management framework, with responsibility for measuring ...
Asset & Liability Sr. Analyst
Boston, MA · Hybrid
$109K - $141K/yr
The Senior Treasury Asset and Liability Management (ALM) Analyst performs a critical role in supporting the bank's balance sheet risk management framework, with responsibility for measuring ...
Asset & Liability Sr. Analyst
Boston, MA · Hybrid
$109K - $141K/yr
Description The Senior Treasury Asset and Liability Management (ALM) Analyst performs a critical role in supporting the bank's balance sheet risk management framework, with responsibility for ...
Asset & Liability Sr. Analyst
Boston, MA · Hybrid
$109K - $141K/yr
Description The Senior Treasury Asset and Liability Management (ALM) Analyst performs a critical role in supporting the bank's balance sheet risk management framework, with responsibility for ...
Senior Treasury Risk Analyst
Plano, TX · On-site
Senior Treasury Risk Analyst Job Location: Plano Texas Job duration: 6 months ... AOR ALM * The primary responsibility of this role is to provide critical thought-leadership using ...
Senior Treasury Risk Analyst
Plano, TX · On-site
Senior Treasury Risk Analyst Job Location: Plano Texas Job duration: 6 months ... AOR ALM * The primary responsibility of this role is to provide critical thought-leadership using ...
As Corporate Treasury expands derivatives capabilities, you will help implement new hedging strategies and ALM initiatives while ensuring disciplined execution in a controlled environment across ...
As Corporate Treasury expands derivatives capabilities, you will help implement new hedging strategies and ALM initiatives while ensuring disciplined execution in a controlled environment across ...
Senior ALM Analyst
New Orleans, LA · On-site
$84K - $111K/yr
Assists the ALM Manager and/or Assistant Treasurer in managing Model Reviews with External Vendors and Internal Model Governance * Analyzes Asset/Liability (ALM) Model data by performing trend ...
Senior ALM Analyst
New Orleans, LA · On-site
$84K - $111K/yr
Assists the ALM Manager and/or Assistant Treasurer in managing Model Reviews with External Vendors and Internal Model Governance * Analyzes Asset/Liability (ALM) Model data by performing trend ...
Build strong relationships across Finance, Accounting, Corporate Communications, Legal, Treasury/ALM, and other business segments. Leadership & Team Development Manage, coach, and develop a Senior ...
Build strong relationships across Finance, Accounting, Corporate Communications, Legal, Treasury/ALM, and other business segments. Leadership & Team Development Manage, coach, and develop a Senior ...
Build strong relationships across Finance, Accounting, Corporate Communications, Legal, Treasury/ALM, and other business segments. Leadership & Team Development Manage, coach, and develop a Senior ...
Build strong relationships across Finance, Accounting, Corporate Communications, Legal, Treasury/ALM, and other business segments. Leadership & Team Development Manage, coach, and develop a Senior ...
$86K - $115K/yr
Assists the ALM Manager and/or Assistant Treasurer in managing Model Reviews with External Vendors and Internal Model Governance * Analyzes Asset/Liability (ALM) Model data by performing trend ...
$86K - $115K/yr
Assists the ALM Manager and/or Assistant Treasurer in managing Model Reviews with External Vendors and Internal Model Governance * Analyzes Asset/Liability (ALM) Model data by performing trend ...
Asset & Liability Sr. Analyst
Johnston, RI · Hybrid
$109K - $141K/yr
Description The Senior Treasury Asset and Liability Management (ALM) Analyst performs a critical role in supporting the bank's balance sheet risk management framework, with responsibility for ...
Asset & Liability Sr. Analyst
Johnston, RI · Hybrid
$109K - $141K/yr
Description The Senior Treasury Asset and Liability Management (ALM) Analyst performs a critical role in supporting the bank's balance sheet risk management framework, with responsibility for ...
Build strong relationships across Finance, Accounting, Corporate Communications, Legal, Treasury/ALM, and other business segments. Leadership & Team Development Manage, coach, and develop a Senior ...
Build strong relationships across Finance, Accounting, Corporate Communications, Legal, Treasury/ALM, and other business segments. Leadership & Team Development Manage, coach, and develop a Senior ...
Treasury Alm information
See salary details
$34.5K - $43.2K
4% of jobs
$43.2K - $51.9K
8% of jobs
$59.2K is the 25th percentile. Wages below this are outliers.
$51.9K - $60.5K
15% of jobs
$60.5K - $69.2K
15% of jobs
The median wage is $74.2K / yr.
$69.2K - $77.9K
14% of jobs
$77.9K - $86.6K
15% of jobs
$89.7K is the 75th percentile. Wages above this are outliers.
$86.6K - $95.3K
13% of jobs
$95.3K - $104K
8% of jobs
$104K - $112.6K
6% of jobs
$112.6K - $121.3K
2% of jobs
$121.3K - $130K
0% of jobs
$34.5K
$78.8K
$130K
How much do treasury alm jobs pay per year?
What are the key skills and qualifications needed to thrive in the Treasury ALM position, and why are they important?
To thrive as a Treasury ALM (Asset Liability Management) professional, you need strong analytical and quantitative skills, a solid understanding of finance and risk management principles, and often a degree in finance, economics, or a related field. Familiarity with ALM modeling software (such as QRM or Moody’s) and data analysis tools, along with relevant certifications like CFA or FRM, is highly advantageous. Attention to detail, problem-solving abilities, and effective communication are key soft skills for success in this role. These competencies are crucial for balancing financial risks, ensuring regulatory compliance, and supporting strategic decision-making in a dynamic treasury environment.
What are the typical daily responsibilities of someone working in Treasury ALM?
A typical day in Treasury ALM involves monitoring the organization's balance sheet, analyzing interest rate risk, and managing liquidity positions to optimize financial stability. Professionals regularly use specialized software to model scenarios, prepare reports for senior management, and ensure compliance with regulatory frameworks. Collaboration is common—Treasury ALM staff work closely with risk management, corporate finance, and business units to provide insights and support decision-making. The role is analytical and requires keen attention to detail, as well as the ability to communicate findings to both technical and non-technical stakeholders.
What is a Treasury ALM?
A Treasury ALM (Asset and Liability Management) job involves managing a financial institution's balance sheet to optimize liquidity, interest rate risk, and profitability. Professionals in this role analyze market conditions, forecast cash flows, and implement strategies to ensure the institution can meet its financial obligations while maximizing returns. They work closely with risk management, finance, and treasury teams to align asset and liability strategies with business goals. Strong analytical skills, financial modeling, and regulatory knowledge are essential for success in this role.

Job description
Working at the World Bank Group provides a unique opportunity for you to help our clients solve their greatest development challenges. The World Bank Group is one of the largest sources of funding and knowledge for developing countries; a unique global partnership of five institutions dedicated to ending extreme poverty, increasing shared prosperity and promoting sustainable development. With 189 member countries and more than 130 offices worldwide, we work with public and private sector partners, investing in groundbreaking projects and using data, research, and technology to develop solutions to the most urgent global challenges. For more information, visit www.worldbank.org
The World Bank Group (WBG) Treasury.
WBG Treasury is the Vice Presidency (VPU), reporting to the Managing Director and World Bank Group Chief Financial Officer, performing treasury functions for the IBRD, IDA and IFC and, to varying degrees, other members of the World Bank Group and other public and private sector entities. Its activities are organized and grouped into the following divisions: Capital Markets; Asset Management; Client Solutions & Structuring; Treasury Operations; Treasury Partnerships & Advisory; and Treasury Risk, Compliance & Controls. Treasury has been a large and significant participant in the international financial markets for over eighty years and has achieved a global reputation as a prudent and innovative borrower, investor, and risk manager. Treasury is responsible for: (i) managing approximately 300 billion in assets for the World Bank Group and other official sector investors; (ii) leading IBRD's, IDA's and IFC's triple-A rated financing programs in international and domestic bond and derivative markets; (iii) conducting asset and liability management for IBRD's, IDA's and IFC's balance sheets; (iv) overseeing the development and outreach related to the financing and hedging products the WBG provides for its developing-country clients; and (v) collaborating with the World Bank member countries to help build their financial markets related capacity through advisory services. Staff in Treasury regularly interact and work with other Departments across the Bank and IFC finance, operations, and investment teams.
Treasury Client Solutions & Structuring (TRECS)
As part of WBG Treasury, the Client Solutions & Structuring department (TRECS) provides structuring expertise and advisory services for financial products offered by IBRD, IDA, and IFC - including risk management, structured finance, local currency financing, derivatives and debt capital market solutions. The department has responsibility for asset-liability management and contributes to product innovation and financial policies.
Treasury ALM and Balance Sheet Management (TREAB)
The TRE ALM and Balance Sheet Management team has responsibility for IBRD, IDA, and IFC asset-liability management. This includes managing and execution hedging transactions, providing technical engagements with borrowers and clients, and contributing to product innovation and financial initiatives and policies.
The Senior Financial Officer will be a member of the TREAB Team. and will play a senior role in advancing IBRD, IDA, and IFC balance sheet management, ALM policy development, stakeholder engagement, and governance reporting. The position requires strong judgment, technical depth, and the ability to lead complex workstreams and across Treasury, Finance Partner VPUs, senior management, shareholders, and other internal and external stakeholders.
Duties and Accountabilities
Lead and provide senior technical oversight for WBG ALM activities, including the use of currency swaps, interest rate swaps, and other derivative transactions to support risk management, funding, liquidity, and balance sheet objectives;
Maintain and strengthen strategic relationships with investment banks, underwriters, derivative counterparties, shareholders, rating agencies, and other stakeholders to support the WBG's standing in global capital markets;
Provide senior quantitative, financial policy, and analytical expertise for WBG ALM activities, including financial instrument valuation, risk measurement, capital and liquidity analysis, rating agency considerations, and the assessment of balance sheet implications under alternative scenarios;
Work across Treasury, Finance Partner VPUs, Global Practices, Legal, Controllers, Operations, and other departments to structure and implement financial solutions for WBG borrowers, ensuring alignment with institutional policies, risk parameters, and shareholder priorities;
Lead or substantially contribute to the development of policy, technical, and Board-facing papers related to WBG ALM, funding, liquidity risk, financial sustainability, and related governance matters;
Lead, coordinate, and/or participate in cross-functional teams developing new financial concepts, products, frameworks, or policy responses in support of senior management and shareholder priorities;
Serve as a central point of coordination for high-quality written communications, reporting, briefing materials, and presentations for senior management, governance committees, shareholders, the Audit Committee, and other stakeholders;
Mentor and guide junior staff, contribute to knowledge sharing across the team and WBG Treasury, and perform other duties as assigned in response to the evolving work program.
About World Bank
Sourced by ZipRecruiter
Industry
International trade financing
Company size
1,001 - 5,000 Employees
Headquarters location
Washington, DC, US
Year founded
1994