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Treasury Capital Markets Jobs (NOW HIRING)

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Treasury Capital Markets information

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$34.5K

$78.8K

$130K

How much do treasury capital markets jobs pay per year?

As of Jun 14, 2026, the average yearly pay for treasury capital markets in the United States is $78,779.00, according to ZipRecruiter salary data. Most workers in this role earn between $59,500.00 and $93,000.00 per year, depending on experience, location, and employer.

What are some typical daily responsibilities in a Treasury Capital Markets role?

In a Treasury Capital Markets position, your day often involves managing the organization's liquidity, executing funding strategies, overseeing cash flow, and monitoring financial market trends. You'll be responsible for trading and hedging activities, ensuring compliance with internal controls and regulatory requirements, and preparing regular financial reports. Collaboration with internal departments such as finance, risk, and accounting is common to align strategies and support broader business objectives. This dynamic environment requires proactive problem-solving, continuous market analysis, and clear communication to drive successful outcomes.

What are the key skills and qualifications needed to thrive in the Treasury Capital Markets position, and why are they important?

To thrive in Treasury Capital Markets, you need a strong understanding of financial instruments, capital markets, risk management, and typically a degree in finance, economics, or a related field. Familiarity with trading platforms, treasury management systems, and certifications like CFA or FRM are often required. Analytical thinking, attention to detail, and excellent communication skills help standout professionals manage complex transactions and collaborate cross-functionally. These skills and qualities are essential to ensure sound financial decision-making, compliance, and effective execution in fast-paced capital market environments.

What is a Treasury Capital Markets job?

A Treasury Capital Markets job involves managing an organization's funding, liquidity, and financial risk through capital market activities. Professionals in this role handle debt issuance, foreign exchange management, interest rate risk, and investment strategies to optimize the firm's financial position. They work closely with banks, investors, and internal teams to ensure efficient capital allocation. This role requires strong analytical skills, financial market knowledge, and experience with financial instruments such as bonds, derivatives, and loans.

More about Treasury Capital Markets jobs
What cities are hiring for Treasury Capital Markets jobs? Cities with the most Treasury Capital Markets job openings:
What states have the most Treasury Capital Markets jobs? States with the most job openings for Treasury Capital Markets jobs include:
What job categories do people searching Treasury Capital Markets jobs look for? The top searched job categories for Treasury Capital Markets jobs are:
Analyst, Treasury & Capital Markets

Analyst, Treasury & Capital Markets

RCN Capital LLC

Charlotte, NC โ€ข On-site

Full-time

Retirement

Posted 8 days ago


Job description

RCN Capital, LLC is a national, direct, private lender providing real estate investors with financing for the purchase or refinance of non-owner-occupied single-family & multi-family properties.
RCN Capital is seeking an Analyst, Treasury & Capital Markets to join the Treasury team in our Charlotte, NC location. The Analyst, Treasury & Capital Markets will be responsible for assisting in monitoring and improving RCN's capital efficiency in relation to loan originations as well as strengthening and maintaining RCN's balance sheet and cash flow with the goal of ensuring greater return on investment. Additionally, the role will carry responsibility for cash flow forecasting and oversight of RCN's Loan Servicing process to ensure that documentation is being received by counter-parties when needed. The Analyst, Treasury & Capital Markets will also participate in the structuring and pricing for RCN's loan programs for the Loan Officers and Loan Processors. Ideal candidates will possess an affinity for quantitative analysis, forecasting, and price modeling, as well as an ability to produce results in a fast paced and adapting environment.
Primary Responsibilities:
  • Assist in strengthening and Maintaining RCN's short and long term liquidity forecasting and daily liquidity management
  • Assist in creating efficiencies across multiple groups at RCN
  • Help track and support weekly loan sales, for all products, with RCN's takeout partners. This includes, but is not limited to, producing and reviewing data tapes, solving diligence exceptions, ensuring each loan is sent to most economical outlet, and confirming all final documents are in order and executed in a timely manner
  • Support Treasury & Capital Markets by presenting and retrieving approval on loan scenarios from external/secondary parties that are outside of RCN's traditional box
  • Assist in product development and refinement across all of RCN's platforms through stress testing, guideline revision, and searching for areas of opportunity within our products
  • Assist and help manage other departments within RCN to ensure that necessary functions are being performed in order to maintain a high level of Capital Efficiency. This includes ensuring Loan Servicing has all documents in order and tracking loan packages
  • Build, Strengthen, and Maintain current and future relationships with all of RCN's external counter-parties
  • Assist in finding new ways to stay competitive with RCN's competition
  • Development and Implementation of any and all Ad Hoc requests from management
  • Additional tasks and projects as they arise

Required Skills:
  • Proven ability to run reports and forecasts, and accurately interpret the data
  • Strong communication skills, both written and verbal
  • Experience using MS Office applications, specifically MS Excel
  • Ability to disseminate complex information to a wide range of skill levels

Required Experience:
  • Internships or academic experience related to treasury or capital markets
  • Experience in private lending preferred

Education:
  • Bachelor's degree in Finance, Accounting, Mathematics, Statistics, Economics, Business, or related field required
  • Master's degree in Finance, Accounting, Mathematics, Statistics, Economics, Business, or related field preferred

Work Schedule:
  • Full time
  • Monday-Friday, 9:00AM to 6:00PM
  • First 90-days are onsite for training
  • Hybrid schedule after - up to 3 days/week remote

We Offer:
  • Growth-oriented work environment
  • Training opportunities
  • Casual dress policy
  • Competitive benefits, including 401K
  • Many more perks!

Equal Opportunity Employer
This employer is required to notify all applicants of their rights pursuant to federal employment laws. For further information, please review the Know Your Rights notice from the Department of Labor.