Liquidity and Account Solutions Business Manager - Vice President
Job Responsibilities
Lead the Deposit Strategy & Oversight business management agenda, including performance management, priority-setting, and leadership decision support
Own management reporting and executive narratives by creating high-quality materials for leadership forums and translating complex data into clear insights and actions
Drive cross-functional initiatives across Product, regional teams (EMEA/APAC/LATAM), Finance, Risk/Compliance, Operations, and other partners to ensure alignment and timely delivery
Establish operating cadence and governance routines, including objectives and key results (OKRs), initiative tracking, and progress updates against defined outcomes
Define targets and performance metrics and monitor progress to surface risks, trade-offs, and opportunities early
Partner with Finance and functional stakeholders on forecasting inputs, expense discipline, and resource prioritization aligned to business strategy
Deliver rapid-response executive support for ad-hoc requests, structured problem solving, and high-stakes deliverables for senior audiences
Cover oversight, risk, and controls deliverables related to deposit strategy and governance, including audit, regulatory, and compliance documentation requests
Enable consistent stakeholder communication by aligning leaders and regional partners on priorities, progress, and decisions
Required Qualifications, Capabilities, And Skills
- Significant experience in Financial Services delivering outcomes in a matrixed, global organization
- Bachelor's degree in Business, Finance, Economics, or a related field
- Demonstrated ability to lead complex workstreams end-to-end and influence without authority across diverse stakeholders
- Strong strategic problem-solving skills with sound commercial judgment and ability to frame trade-offs and recommendations
- Exceptional executive communication skills (written and verbal), including presenting to senior leaders
- Advanced proficiency in Excel and PowerPoint, with strong attention to detail and ability to maintain a big-picture view
- Prioritization and time management, managing multiple high-stakes deliverables in a fast-paced environment
Preferred Qualifications, Capabilities, And Skills
- Experience supporting deposit strategy, liquidity, cash management, or related Payments products
- Experience operating in a globally regulated environment, including audit/regulatory request coordination
- Familiarity with performance management frameworks, operating cadence, and governance routines
- Ability to build clear narratives from complex data (e.g., executive readouts, decision memos, leadership decks)
- Experience partnering closely with Finance, Risk/Compliance, Operations, and product stakeholders on outcomes and controls
- Exposure to multi-region stakeholder engagement across EMEA, APAC, and/or LATAM
- Strong comfort with ambiguous problem statements and delivering structured, executive-ready outputs under tight timelines