Senior Manager, Cash Analytics and Operations

AssetMark, Inc.

$127K — $155K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5+ years of experience in cash management, treasury, or financial services operations.
  • Bachelor's degree required; MBA or advanced degree preferred.
  • Proficient in financial modeling and advanced Excel skills.
  • Strong knowledge of cash products and distribution channels.
  • Experience in operational controls and risk management.

Responsibilities

  • Provide analytics to guide strategic direction of cash management programs.
  • Manage the cash sweep portfolio, including funding forecasts and rebalancing.
  • Coordinate discussions and execution of funding activities with banks.
  • Prepare strategic materials for key committees and leadership updates.
  • Develop dashboards tracking key performance indicators and profitability.
  • Conduct financial modeling for strategic initiatives and client behavior analysis.
  • Translate complex data into concise recommendations for senior leaders.

Benefits

  • Hybrid work schedule with flexibility.
  • Collaborative work environment with cross-functional teams.
  • Opportunity to directly influence cash management strategies.
  • Engagement with senior leadership and decision-making processes.
Full Job Description
Job Description:

The Job/What You’ll Do:

We are looking for an experienced Senior Manager, Cash Analytics and Operations to support analytics, portfolio management, risk mitigation, and the day-to-day business activities required to deliver strong cash solutions for clients. The Senior Manager, Cash Analytics and Operations, will provide analysis and recommendations to support cash portfolio and liquidity decisions, coordinate legal and operational activities, and assist with key bank and vendor relationships. The Senior Manager, Cash Analytics and Operations will work closely with Finance, Operations, Risk, Legal, Compliance, Power BI, and Marketing to execute priorities and support measurable business outcomes.

Work arrangement: Full-time position in our Concord, CA office with a hybrid work schedule.

Responsibilities:

  • Provide analytics and recommendations to support leaders as they set the strategic direction, priorities, and roadmap for AssetMark's cash management programs and services.
  • Support ongoing management of the cash sweep portfolio across fixed-rate term solutions, liquidity positioning, funding forecasts, initial allocations, rebalancing, maturity planning, and rate strategy.
  • Coordinate funding and placement discussions with bank partners and execute approved funding and defunding activity, liquidity actions, and related cross-functional follow-up.
  • Prepare materials for the Pricing Committee, Monthly Portfolio Review, and Cash Strategy leadership updates, including performance metrics, initiative status, material risks, items requiring decisions, leadership feedback, and final distribution.
  • Build and maintain dashboards and analyses covering balances, rates, spreads, profitability, adoption, pipeline, retention, redemptions, liquidity, and other key performance indicators.
  • Conduct financial modeling and ad hoc quantitative analysis to evaluate strategic initiatives, client behavior, pricing decisions, portfolio scenarios, and business cases.
  • Translate large and complex data sets into concise recommendations, executive presentations, and action tracking for senior leaders and cross-functional partners.
  • Provide operational support for account opening, wires, and related cash movements.
  •  Other duties as assigned

Knowledge, Skills, Abilities:

  • Advanced financial modeling, analytical, and problem-solving skills, with the ability to work with large data sets and convert findings into sound business decisions; advanced Excel skills are required.
  • Excellent written and interpersonal communication skills.
  • Strong PowerPoint skills and the ability to develop clear executive narratives, recommendations, and decision-ready materials.
  • Proactive, collaborative, and strategic approach, with the ability to manage multiple priorities and solve problems in a fast-paced environment.

Education & Experience:

  • 5+ years of relevant experience in cash or treasury management, portfolio analytics, product management, banking, finance, consulting, or financial-services operations.
  • Bachelor's degree or equivalent work experience required; an MBA or other relevant advanced degree is a plus.
  • Knowledge of cash products and RIA and broker-dealer distribution channels, with experience in bank or vendor management, operational controls, risk management, or cross-functional legal and compliance work, preferred.

Compensation: The Base Salary range for this position is between $127,000-$155,000. 

This information reflects a base salary range that AssetMark reasonably expects to pay for the position based on a number of factors which may include job-related knowledge, skills, education, experience, and actual work location. This position will also be eligible for additional variable incentive compensation and competitive benefits. 

Candidates must be legally authorized to work in the US to be considered. We are unable to provide visa sponsorship for this position. 

#LI-hybrid 

#LI-TE 1 

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