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FVP, Assistant Treasurer

Job in Newport Beach, Orange County, California, 92659, USA
Listing for: Genesis Bank
Full Time position
Listed on 2025-12-11
Job specializations:
  • Finance & Banking
    Corporate Finance, Risk Manager/Analyst
  • Management
    Risk Manager/Analyst
Job Description & How to Apply Below

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Who We Are:

Genesis Bank is a California-chartered commercial bank organized by a group of highly experienced successful bankers and business professionals.

Why Genesis Bank?

At Genesis Bank, you will have an opportunity to make an impact and play a key role in developing and delivering on the Bank’s empowering mission of providing innovative and solution-oriented products and services to its clients, all while uplifting the communities the Bank serves and beyond. Our comprehensive health, dental, and vision benefits for eligible employees are available on your first day.

We also offer 401k matching, flexible time off, competitive salary, gym access, and paid federal holidays. Located in beautiful Newport Beach across from John Wayne Airport.

Duties and Responsibilities

The First Vice President, Assistant Treasurer, is responsible for the Bank’s balance sheet management, liquidity oversight, capital planning, and funding strategy. This role will drive execution of the Bank’s Asset‑Liability Management framework, support treasury infrastructure, manage critical liquidity and interest rate risks, and ensure the Bank is well‑positioned to reach its strategic objectives, both organic and acquisitive. The ideal candidate is hands‑on, analytical, strategic, forward‑thinking, and experienced in banking.

Asset‑Liability

Management
  • Lead the Bank’s ALM strategy, including interest rate risk management, liquidity risk management, market risk oversight, and balance sheet optimization.
  • Serve as a key member of ALCO, while contributing actionable insights and recommendations.
  • Develop, maintain, and manage models for NII forecasting, EVE sensitivity, liquidity stress testing, and scenario analysis.
  • Partner with business lines to align loan/deposit growth with funding and capital strategies.
  • Oversee the Bank’s investment portfolio (marketable securities, non‑marketable securities, BOLI, LIHTC, NMTC, etc.) including evaluating potential investing or sale opportunities, replacement of maturing securities, and pledging of securities to meet collateral requirements, taking into consideration the Bank’s interest rate, capital, and liquidity position.
Liquidity & Funding Management
  • Oversee daily, short, and long‑term liquidity planning, including cash flow projections, intraday liquidity, and contingency funding plans.
  • Manage wholesale funding strategies, including FHLB advances, brokered deposits, correspondent funding, and institutional funding.
  • Optimize deposit pricing, mix, and retention in collaboration with product and business unit leaders.

· Continually evaluate funding alternatives to optimize the Bank’s liquidity and earnings levels, including debt offerings, equity raises, and other short/long‑term funding opportunities.

Treasury Operations & Technology
  • Continually evaluate opportunities to enhance treasury infrastructure, including cash management processes, forecasting and stress testing tools, ALM platforms, and reporting capabilities.
  • Partner with technology and operational teams to leverage the Bank’s technology platform for automation, efficiency, and enhanced analytics.
  • Establish and maintain strong governance, controls, documentation, and regulatory compliance frameworks.
  • Function as a liaison with correspondent banks, Federal Reserve Bank, FHLB, other depository or financial institutions, and outside transfer agents.
Risk & Regulatory Management
  • Ensure compliance with regulatory and internal policy requirements related to liquidity, contingency funding, interest rate risk, capital planning, and treasury operations.
  • Prepare materials for Board, ALCO, and senior management reviews, as well as regulatory examinations.
  • Maintain and refine treasury policies, procedures, and governance frameworks to adapt to evolving regulatory requirements, operating environment, and bank‑specific operations.
Cross‑Functional Partnership
  • Mentor and develop a growing Finance team that supports a scaling institution.
  • Collaborate with lending, deposit, credit, risk, and operations teams to support strategic growth.
  • Support integration of…
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