Charles Schwab

Manager, Treasury Capital Markets – Rates, Funding & Money Markets

Charles Schwab$100K — $130K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5+ years in Treasury, Finance, or related areas, including 3+ years at a similarly sized institution.
  • Bachelor's degree in Finance, Economics, Mathematics, or a related field.
  • Strong fixed-income concept understanding and experience with various money market instruments.
  • Demonstrated interest in macroeconomic developments, capable of translating market insights into actionable recommendations.
  • Knowledge of ALM, liquidity risk, and capital risk, with familiarity in relevant regulations.
  • Proficient in trade settlement processes for fixed-income and funding instruments.
  • Strong stakeholder management and communication skills, able to develop executive-ready materials.

Responsibilities

  • Execute treasury buy/sell activities and manage short-term liquidity across entities.
  • Provide desk coverage for funding and investment activities, ensuring transactional accuracy.
  • Own select funding and investment activities, ensuring alignment with balance sheet objectives.
  • Analyze market conditions to identify value opportunities for funding and investment decisions.
  • Evaluate funding trade-offs across products, incorporating market and balance sheet factors.
  • Collaborate with Treasury and other stakeholders on execution and control requirements.
  • Assist with enhancing front office systems for investment and funding positions.
  • Implement strategies for efficient collateral management.

Benefits

  • Opportunities for career growth and development in a supportive environment.
  • Access to high-visibility projects with meaningful ownership responsibilities.
  • Post-training ability to contribute to strategic balance sheet management initiatives.
Full Job Description
Your Opportunity

The Balance Sheet Strategy team within Corporate Treasury leads firm-wide balance sheet management strategy, investment allocation and portfolio optimization, market risk management, funds transfer pricing (FTP), asset/liability management (ALM) derivatives hedging, and rates and funding execution. The team manages fixed-income investment portfolios across several legal entities totaling more than $250B and executes cash optimization and wholesale funding actions supporting approximately $500B of total balance sheet assets. We also oversee off-balance-sheet derivatives portfolios, including ~$60B notional for interest rate risk (IRR) management and ~$75B in brokered deposit agreement notional investments.

 

This Manager role reports to the Senior Manager, Head of Rates, Funding & Money Markets, and joins a team of traders responsible for the execution of treasury buy/sell activity (rates), repo and FHLB borrows (funding), and commercial paper, reverse repo, and working capital redemptions/purchases (money markets).

 

The role provides critical day-to-day execution and coverage across funding and investment activities, helping manage short-term liquidity, optimize excess cash, and support collateral positioning across entities subject to various Treasury constraints.

 

As Corporate Treasury expands balance sheet optimization capabilities, the role will contribute to the development of additional strategies, including collateral optimization initiatives and broader rates capabilities.

 

You’ll find a fast-moving, high-visibility role with meaningful ownership, supported by leaders who value your perspective and invest in your growth.

What you have

Required Qualifications:

  • 5+ years of experience in Treasury, Finance, and/or rates, funding and money markets, including 3+ years at an institution of similar size and complexity to Charles Schwab.

  • Bachelor’s degree in Finance, Economics, Mathematics, or a related field.

  • Strong understanding of fixed-income concepts and experience executing rates, funding and money market instruments (e.g., Treasuries, repurchase agreements, FHLB advances, Federal Reserve facilities, commercial paper, and money market funds). Familiarity with collateral management—including the ability to upgrade/downgrade collateral via collateral swaps—is a plus.

  • Demonstrated interest in macroeconomic and rates/funding market developments, with the ability to translate market insights into clear recommendations and trade-off analysis for leadership.

  • Knowledge of key Treasury concepts (ALM, interest rate risk, liquidity risk, and capital risk) and familiarity with prudential regulations and supervisory processes applicable to institutions of similar size and complexity to Charles Schwab.

  • Working knowledge of clearing, custody, and trade settlement processes across major fixed-income and funding instruments.

  • Strong stakeholder management skills, with the written and verbal communication ability to develop executive-ready materials and facilitate strategic decisions on balance sheet management.

  • Experience with Calypso or a comparable Treasury Management System (preferred).

  • Proficiency with Bloomberg, including core functions for rates, funding, and fixed-income instruments in a fast-paced market environment.

  • Proven ability to manage multiple high-priority initiatives under tight timelines while maintaining sound judgment and control discipline.

What you'll do:

  • Execute and support treasury buy/sell activity (rates), repo and FHLB borrows (funding), and commercial paper, reverse repo, and working capital redemptions/purchases (money markets) to manage short-term liquidity and ensure efficient use of excess cash across entities.

  • Provide primary and backup desk coverage across funding and investment activities, ensuring continuity of execution and adherence to strong controls and accuracy across transactions.

  • Take ownership of select funding and investment activities, with accountability for execution quality, market awareness, and alignment with balance sheet objectives

  • Analyze rates, funding, and money markets to identify relative value opportunities and support investment and funding decisions that optimize return, liquidity usage, and balance sheet efficiency.

  • Evaluate and support funding and investment trade-offs across products (e.g., repo vs. FHLB or reverse repo vs. commercial paper), incorporating market conditions and balance sheet considerations.

  • Partner with key Treasury, Corporate Controllers, Technology, & Regulatory stakeholders to align execution with liquidity needs, balance sheet strategy, and control requirements.

  • Assist with the configuration and enhancement of front office systems used for system-of-record reporting of investment and funding positions.

  • Contribute to the implementation of new levers critical to efficient collateral management to meet regulatory requirements, including collateral optimization initiatives (e.g., upgrades/downgrades)

  • Build and maintain street facing relationships with external counterparties to ensure best execution and consistent access to investment opportunities and liquidity across market environments.

In addition to the salary range, this position is also eligible for bonus or incentive opportunities

About Charles Schwab

Charles Schwab is a financial services company that provides a full range of securities, brokerage, banking, money management, financial advisory, investor, and retirement plan services. It operates in four main divisions; investing, wealth management, banking, and trading. Charles Schwab provides a full-service brokerage platform that serves individual investors who invest on their own or through a workplace-sponsored retirement or equity plan, as well as banking through Schwab Bank. The firm was founded in 1973 and is headquartered in San Francisco, California.

Charles Schwab Careers

Join the vibrant team at Charles Schwab, a leader in global finance, where your career is propelled by innovation, leadership, and a commitment to diversity and professional growth. At Charles Schwab, we offer more than just job opportunities; we provide a platform for you to make a significant impact on the industry and our clients' lives.

Work You’ll Do

At Charles Schwab, we are dedicated to helping our clients manage their financial futures. Being part of our team means you'll work alongside some of the most skilled professionals in the financial services industry. Our culture thrives on teamwork, integrity, and relentless dedication to our clients. Whether you're looking for a position in financial consulting, technology, or administrative support, Charles Schwab offers a dynamic work environment where your skills will be honed and your achievements recognized.

Innovate and Lead

Embrace the opportunity to lead through innovation. Charles Schwab’s commitment to technology and innovation is fundamental to our service delivery. By joining our team, you will be at the forefront of developing new solutions that redefine the future of finance. Your leadership can guide significant projects that impact our company and the industry.

Grow Your Career

Charles Schwab believes in fostering the growth of its employees. Whether through professional development programs, diversity training, or leadership workshops, we ensure that our team members receive the support and training they need to advance their careers. With a variety of career paths available, your job at Schwab can evolve with your interests and expertise.

Internship and Employment Opportunities

Start your professional journey with Charles Schwab through our internship programs or full-time employment opportunities. We seek individuals who are passionate, curious, and ready to drive change. A career at Schwab is not just about having a job; it's about building a lasting relationship with a company that values your potential.

Benefits and Culture

Charles Schwab is renowned for its employee-friendly culture. We offer a comprehensive benefits package that supports the health, financial stability, and work-life balance of our team members. From competitive salaries and bonuses to health insurance and retirement plans, Schwab ensures that your career is as rewarding as it is enriching.

Networking and Professional Development

Expand your professional network and enhance your skills through our various networking events, mentorship programs, and training sessions. At Charles Schwab, we believe in leveraging collective expertise to foster learning and innovation. Engage with leaders, gain insights from experienced professionals, and build relationships that will aid your career trajectory.

Join Our Team

Explore the numerous career paths available at Charles Schwab and discover how your talents can be utilized to their fullest potential. Search open positions that match your skills and interests. We are continuously hiring across various disciplines and look forward to adding innovative, driven individuals to our team.

Stay Connected

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Explore Charles Schwab Jobs

Ready to take the next step in your career? Visit our careers page to review current job openings, submit your resume, and prepare for your interview. At Charles Schwab, your future is waiting. [SEARCH CHARLES SCHWAB JOBS] Join Charles Schwab today and be part of a team that values diversity, innovation, and leadership—where your career can thrive in the exciting world of finance.
Learn more about Charles Schwab
Size
34,200 employees
Market Cap
$151.6 billion
Industry
Net Income
$3.2 billion
Founded
1973
5 Year Trend
+20%
Revenue
$12.1 billion
NASDAQ

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