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Treasury Manager Fx Jobs in Michigan (NOW HIRING)

Manageunderwriting,approval and documentation process fortransactions which may include new money,loan extensions, amendments, waivers and ancillary products, including treasury management, FX ...

... FX translation, intercompany, management fees); and preparation of accurate, timely internal ... Oversees global treasury and cash management, including liquidity planning, cash forecasting ...

... FX translation, intercompany, management fees); and preparation of accurate, timely internal ... Oversees global treasury and cash management, including liquidity planning, cash forecasting ...

Fortitude Re manages a general account of approximately $111 billion across life, annuity, and ... Oversee FX translations, cash flow statement, and related-party accounting * Oversee the ...

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Treasury Manager Fx information

What does a Treasury Manager FX do?

A Treasury Manager FX (Foreign Exchange) is responsible for managing an organization's exposure to currency risk and handling foreign exchange transactions. They develop strategies to hedge against currency fluctuations, monitor FX markets, and ensure compliance with relevant regulations. Their role often involves working closely with finance teams to optimize cash flow, manage liquidity, and support international business operations. Effective Treasury Managers FX help protect a company’s financial health in global markets.

What are some common challenges a Treasury Manager FX faces when managing foreign exchange risks, and how can they address them?

A Treasury Manager FX often encounters challenges such as volatile currency markets, rapidly changing regulatory requirements, and the need to accurately forecast cash flows in multiple currencies. Addressing these challenges requires staying updated on market trends, implementing robust hedging strategies, and leveraging treasury management systems for real-time data and analytics. Collaborating closely with finance, accounting, and business unit teams also ensures cohesive decision-making and risk mitigation across the organization.

What are the key skills and qualifications needed to thrive as a Treasury Manager FX, and why are they important?

To thrive as a Treasury Manager FX, you need strong financial analysis skills, expertise in foreign exchange markets, and typically a degree in finance, accounting, or a related field. Familiarity with treasury management systems, FX trading platforms, and advanced Excel skills are commonly required, and certifications like CTP or CFA are advantageous. Outstanding attention to detail, risk management abilities, and effective communication are vital soft skills for success in this role. These competencies are crucial for managing currency risk, optimizing cash flow, and ensuring compliance in a dynamic global financial environment.

What is the difference between Treasury Manager Fx vs Treasury Analyst?

AspectTreasury Manager FxTreasury Analyst
CredentialsTypically requires a bachelor's degree in finance or related field; certifications like CFA or CTP are commonUsually holds a bachelor's degree in finance, accounting, or economics; certifications are advantageous but not mandatory
Work EnvironmentManages foreign exchange risk, oversees treasury operations, and develops FX strategies within corporate treasury teamsAnalyzes FX market trends, supports treasury operations, and assists in risk management activities
Employer & IndustryEmployed by corporations, banks, or financial institutions involved in international tradeWorks within corporate treasury departments, financial institutions, or consulting firms

The Treasury Manager Fx focuses on managing foreign exchange risks and strategies at a managerial level, while the Treasury Analyst supports these activities through analysis and operational tasks. Both roles require financial knowledge and may involve FX-related responsibilities, but the manager has a broader strategic scope.

What are popular job titles related to Treasury Manager Fx jobs in Michigan?

For Treasury Manager Fx jobs in Michigan, the most frequently searched job titles are:

What job categories do people searching Treasury Manager Fx jobs in Michigan look for?

The top searched job categories for Treasury Manager Fx jobs in Michigan are:

What cities in Michigan are hiring for Treasury Manager Fx jobs?

Cities in Michigan with the most Treasury Manager Fx job openings:

CRE Portfolio Manager II

Fifth Third

Grand Rapids, MI • On-site

Full-time

Posted 17 days ago


Job description

Make banking a Fifth Third better
We connect great people to great opportunities. Are you ready to take the next step? Discover a career in banking at Fifth Third Bank.

GENERAL FUNCTION:

The Portfolio Manager IIis responsible formanaging a portfolio of commercial loansand underwriting transactions. This position is accountable for the ongoing review and analysis of financial statementsandproactive portfoliomonitoringto ensure a comprehensive understanding of borrower performance and risk profile. The Portfolio Manager II partners closely with Relationship Managersand CreditRiskthroughout the deal lifecycle. Responsibilities include covenant structuring and analysis, collateral evaluation, risk rating assessment, and the preparation of sound, well-supported credit recommendations.The Portfolio ManagerIIis expected to be anticipatory, forward-focused, independent, transparent, and collaborative in the identification, communication, and management of risk.

Responsible and accountable for risk by openly exchanging ideas and opinions, elevating concerns, and personally following policies and procedures as defined. Accountable for always doing the right thing for customers andcolleagues andensures that actions and behaviors drive a positive customer experience. Whileoperatingwithin the Bank's risk appetite,achievesresults by consistentlyidentifying, assessing, managing, monitoring, and reporting risks of all types.

ESSENTIAL DUTIES AND RESPONSIBILITIES:

  • Maintain an independent current and forward-looking view on the creditworthiness of each client and communicate this view to business and risk partners.
  • Perform monitoring actions; conduct periodic deal reviews; and execute decisions to renew ormodifydeals.
  • Work closely with Credit Risk and Relationship Managers to actively manage the bank's exposure to the clients in the portfolio.
  • Analyze historical financials and projections to ensureaccuraterisk ratings, early identification of emerging credit problems, and articulation of industry trends.
  • Manageunderwriting,approval and documentation process fortransactions which may include new money,loan extensions, amendments, waivers and ancillary products, including treasury management, FX, interest rate derivatives, and commodity exposure.
  • Review and recommend credit decisions; perform final risk rating analysis; provide business partners with credit lending policy interpretation.
  • Ensure compliance with internal policies and regulatory guidelines.
  • Actively involved in the recruiting,training,and mentoring of junior team members to enhance their skills and performance.
  • Meet with prospects / clients as needed.
  • Create and deliver comprehensive portfolio performance reports and presentations for senior management, offering strategic insights and high-level recommendations.
  • Ensure the highest standards of accuracy and integrity in system records and electronic files, supporting advanced compliance and data governance initiatives.

SUPERVISORY RESPONSIBILITY:

Role maybe responsible forprovidingotheremployees, typically credit analysts,timely,candidandconstructive performance feedback. Developing employees to their fullest potential andprovidechallenging opportunities that enhance employee career growth; developing theappropriate talentpool to ensure adequate bench strength and succession planning;recognizing and rewarding employees for accomplishments.

MINIMUM KNOWLEDGE,SKILLSAND ABILITIES REQUIRED:

  • Bachelor's degree in Finance, Business Administration, orrelatedfield.
  • 6+ years of CRE underwriting experience with income-producing, construction, and REITs in various asset classes
  • Strong credit analysis skills, including cash flow, guarantor, collateral, and repayment source evaluation.
  • Experience structuring and presenting credit recommendations while applying bank credit policy and risk rating standards.
  • Strong verbal and written communication skills.
  • Professional presence (client-facing).
  • Stronginterpersonal and communication skills with the ability to collaborate effectively with business and risk partners
  • Expertisein financial and risk analysis, including financial modeling.
  • Demonstratedexpertisein using effective problem solving.
  • Proficientintechnology andabilityto learn new applications.
  • Ability to manage multiple projects and meet deadlines.
CRE Portfolio Manager IITotal Base Pay Range 82,100.00 - 172,500.00 USD Annual

At Fifth Third, we understand the importance of recognizing our employees for the role they play in improving the lives of our customers, communities and each other. Our Total Rewards include comprehensive benefits and differentiated compensation offerings to give each employee the opportunity to be their best every day.

The base salary for this position is reflective of the range of salary levels for all roles within this pay grade across the U.S. Individual salaries within this range will vary based on factors such as role, relevant skillset, relevant experience, education and geographic location. In addition to the base salary, this role is eligible to participate in an incentive compensation plan, with any such payment based upon company, line of business and/or individual performance.

Our extensive benefits programs are designed to support the individual needs of our employees and their families, encompassing physical, financial, emotional and social well-being.You can learn more about those programs on our 53.com Careers page at: https://www.53.com/content/fifth-third/en/careers/benefits.html or by consulting with your talent acquisition partner.

LOCATION -- Chicago, Illinois 60606

Attention search firms and staffing agencies: do not submit unsolicited resumes for this posting. Fifth Third does not accept resumes from any agency that does not have an active agreement with Fifth Third. Any unsolicited resumes - no matter how they are submitted - will be considered the property of Fifth Third and Fifth Third will not be responsible for any associated fee.

Fifth Third Bank, National Association is proud to have an engaged and inclusive culture and to promote and ensure equal employment opportunity in all employment decisions regardless of race, color, gender, national origin, religion, age, disability, sexual orientation, gender identity, military status, veteran status or any other legally protected status.