M&T Bank Corporation

Senior Treasury Portfolio Manager

M&T Bank Corporation$180K — $301K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor’s degree in Accounting, Finance, Math, Economics or related field with a minimum of 9 years related experience focused on mortgages/mortgage-backed securities or equivalent experience.
  • Direct management or advisory experience in a discretionary bank portfolio and trade execution in capital markets.
  • Proven expertise with Calypso fixed income analytical software.
  • Deep understanding of various fixed income instruments and market dynamics.
  • Advanced risk assessment and communication skills related to market fluctuations.

Responsibilities

  • Lead and develop a Bank Portfolio team, promoting teamwork and communication.
  • Oversee fixed income security and held for investment mortgage portfolios, adhering to risk appetite standards.
  • Foster risk management and maximize shareholder returns in mortgage portfolios, collaborating with business units.
  • Develop interest rate risk management strategies and make aligned recommendations for the balance sheet.
  • Conduct detailed analysis and modeling of investment strategies, ensuring alignment with corporate goals.

Benefits

  • Promotes a culture of belonging and supports M&T Bank's brand values.
  • Opportunity for leadership in a significant treasury function.
  • Engagement with senior management and executive presentations, enhancing visibility within the organization.
  • A collaborative working environment with multiple stakeholders across diverse functions.
Full Job Description
Overview:

Leads a team within Corporate Treasury that directs the strategic management of the bank’s securities and held for investment mortgage portfolios. Effectively communicates financial market conditions to senior management. Uses knowledge of asset/liability management philosophies and works collaboratively across the organization to develop, recommend, execute and communicate strategies that achieve management's objectives for risk appetite and balance sheet management positioning.  Performs advanced research, analysis and modeling of financial market opportunities and strategies.  Monitors portfolio positions and their contributions to consolidated risk assessments and accounting results. Works across the organization to communicate investment/mortgage strategies and their effect on balance sheet management strategies and corporate performance.  Maintains and develops control frameworks consistent with operational risks.  Develops the strategic plan and sets goals for the unit. 

Primary Responsibilities:
  • Manages a Bank Portfolio team/function.  Provides leadership and guidance to staff, fostering an environment that encourages employee participation, teamwork and communication
  • Manages the Corporation’s fixed income security (U.S. Treasuries, Agency MBS/CMBS/CMOs, Corporates, Municipals, etc.) and the held for investment mortgage portfolios to maintain acceptable levels of risk in alignment with the Board-approved risk appetite statement
  • Manage the Corporation’s held for investment mortgage portfolio with a focus on risk management and maximizing shareholder returns.  Partner with Secondary Mortgage in implementing pricing changes as market dynamics shift.  Active participant in MLRC ensuring Treasury and balance sheet priorities are aligned with mortgage originating business units
  • Takes a leadership role in developing interest rate risk and other balance sheet management strategies, leading to strategic recommendations.
  • Works independently and is able to develop detailed investment/mortgage execution strategies.
  • Actively participates at the Corporation’s Asset/Liability Committee  
  • Lead portfolio IT enhancement initiatives including prepayment model upgrades.  Manage internal compliance with MRMD and produce documentation to comply with model oversight governance.
  • Participates in developing the team’s strategic plan and sets goals and priorities based on the direction set for the unit; follows through to ensure that objectives are met
  • Assist in managing all interactions with the second line of defense and internal audit
  • Work with multiple stakeholders across Treasury, Compliance, Finance, Legal, Operations, Secondary Mortgage, Audit, Risk to achieve business unit objectives
  • Lead and coordinate new products initiatives as recommended by the team
  • Leads other strategic projects as directed
  • Seasoned expert with extensive technical and/or business knowledge and functional expertise
  • Conduct analysis for the effective challenge process relating to specific disciplines described.
  • Ensure processes and procedures for governance are appropriate and regulatory and reputation risks are minimized
  • Provide review of DFAST and CCAR submissions related to the specific portfolio disciplines above
  • Ensures compliance with all policies, guidelines, and regulatory standards (Board, ALCO, Volker, Regulation WW
  • Carries out complex initiatives involving multiple disciplines and/or ambiguous issues

  • Conduct due diligence and ongoing integration analysis of acquisitions from a Treasury perspective relating to the specific disciplines above
  • Exercise usual authority of a manager concerning staffing, performance appraisals, promotions, salary recommendations, performance management and terminations
  • Understand and adhere to the Company’s risk and regulatory standards, policies and controls in accordance with the Company’s Risk Appetite
  • Promote an environment that supports belonging and reflects the M&T Bank brand
  • Maintain M&T internal control standards, including timely implementation of internal and external audit points together with any issues raised by external regulators as applicable
  • Complete other related duties as assigned

Scope of Responsibilities:

The discretionary portfolio is a significant component of the Bank’s balance sheet risk management function.  The position is responsible for the following capital markets related functions; investment securities portfolio management and held for investment residential mortgage portfolio management. In carrying out these responsibilities, the position must interact and build relationships with members of executive management, Operations, Finance, Corporate Finance, Mortgage Division, Tax, Legal, investment bankers, vendors and occasional informational/educational meetings with bank customers. The position prepares and provides presentations to executive management and risk governance committees.  Develops portfolio management frameworks and strategies that are aligned with the risk appetite and tolerances for the interest rate risk.

Managerial/Supervisory Responsibility:

No. of Staff – 1-3

Education and Experience Required:
  • Bachelor’s degree in Accounting, Finance, Math, Economics or related field and a minimum of 9 years’ related experience focused on mortgages/mortgage-backed securities, or lieu in of degree, a combined minimum of 13 years’ higher education and/or work experience, including a minimum of 9 years’ related experience focused on mortgage-backed securities.
  • Direct experience managing and/or advising a discretionary bank portfolio and associated trade execution in the capital markets. 
  • Demonstrated expertise in the use of Calypso fixed income analytical software.
  • Comprehensive understanding of the relevant instruments and markets. 
  • Advanced skills in assessing, quantifying and communicating market risk. 
  • Understands the data management, assumption inputs, behavioral research and model results associated with advanced fixed income valuation and prepayment software. 
  • Able to apply technical skills to the modeling of trades and portfolio positions. Subject matter knowledge of Asset/Liability Management concepts and their influence on bank portfolio strategy.
  • Knowledge of Accounting for fixed income securities, or experience in Market Risk.
  • Effectively communicate (both verbally and in writing) execution strategies and summarize trade executions and portfolio strategy to the Director of Treasury Portfolio Management, senior management, and risk committees .

Education and Experience Preferred:
  • Master’s degree in Business Administration (MBA).
  • Chartered Financial Analyst (CFA) highly preferred.
  • Excellent analytical skills, including a thorough understanding of stochastic model output and the nuances of interest rate and prepayment modeling
  • Proficient in financial products pricing/fair value measurement theory
  • Current knowledge of all tax, accounting (Generally Accepted Accounting Principles (GAAP) and regulatory actions related to portfolio management activities
  • Excellent verbal and written communication skills
  • Strong cross-functional collaboration skills
  • Strong management skills
  • Strong presentation skills
  • Adept at working in a fast-paced, high-energy level, team-oriented environment

M&T Bank is committed to fair, competitive, and market-informed pay for our employees. The pay range for this position is $180,900.00 - $301,500.00 Annual (USD). The successful candidate’s particular combination of knowledge, skills, and experience will inform their specific compensation.

Location
Paramus, New Jersey, United States of America

About M&T Bank Corporation

M&T Bank is a financial holding company headquartered in Buffalo, New York. M&T's principal banking subsidiary, M&T Bank, operates banking offices in New York, Maryland, New Jersey, Pennsylvania, Delaware, Connecticut, Virginia, West Virginia, and the District of Columbia. Trust-related services are provided by M&T's Wilmington Trust-affiliated companies and by M&T Bank. M&T Bank traces its origins to the founding of Manufacturers and Traders Bank in Buffalo, New York. As a result of mergers, acquisitions, and name changes, M&T Bank Corporation's principal bank is now known as Manufacturers and Traders Trust Company or M&T Bank. M&T Bank reorganized under a bank holding company in 1969 called First Empire State Corporation. The name was changed in 1998 to M&T Bank Corporation, whose common stock is listed on the New York Stock Exchange and trades under the symbol "MTB."

M&T Bank Corporation Careers

Join the vibrant team at M&T Bank Corporation, a leading financial institution where innovation meets tradition, offering a plethora of job opportunities across various sectors. As one of the most respected banks in the nation, M&T Bank Corporation is the perfect place to jumpstart or advance your career in the financial services industry.

Work You’ll Do

At M&T Bank Corporation, you will be part of a culture that cherishes diversity, leadership, and professional growth. Engage in work that makes a real difference in the community while fostering your career development through comprehensive training programs and diverse learning opportunities.

Innovate and Lead

Embrace the chance to work on projects that integrate cutting-edge financial technologies with robust, traditional banking practices. M&T Bank Corporation is at the forefront of the financial industry, offering innovative solutions that redefine banking standards. Our leadership in the market is driven by a commitment to excellence and continuous improvement.

Career Growth and Opportunities

Whether you are looking for an entry-level position or a more senior role, M&T Bank Corporation provides a dynamic pathway for career advancement. With a variety of job opportunities ranging from internships to full-time positions, you can find the perfect match for your skills and ambitions. Our team is dedicated to helping you navigate your career path with tailored development plans and leadership training.

Join Our Team

Explore job opportunities and join a team that values hard work, creativity, and strategic thinking. M&T Bank Corporation is hiring professionals who are passionate about finance and eager to contribute to a team-oriented environment. Enhance your skills through hands-on experience and ongoing professional development.

Networking and Professional Development

At M&T Bank Corporation, networking and professional development are part of our DNA. Connect with industry leaders, participate in high-impact networking events, and take advantage of our mentorship programs. Our employees benefit from a supportive network that boosts their career trajectories and fosters meaningful professional relationships.

Benefits and Culture

Enjoy a comprehensive benefits package that supports both your professional and personal life. M&T Bank Corporation offers competitive salaries, health benefits, and retirement plans designed to ensure the well-being of our team members and their families. Experience a supportive and inclusive culture where every employee is valued and given the opportunity to thrive.

How to Apply

Ready to take the next step in your career? Visit the M&T Bank Corporation Careers page to browse current openings, submit your resume, and prepare for your interview. We are excited to see how your skills and ideas can contribute to our continued growth and success.

Stay Connected

Keep up to date with the latest from M&T Bank Corporation by following our careers blog. Gain insights from our experts and stay informed about new job openings and upcoming networking events. Join M&T Bank Corporation today and be part of a team that is dedicated to growth, innovation, and leadership in the banking industry. Your future starts here!
Learn more about M&T Bank Corporation
Size
17,115 employees
Market Cap
$25.2 billion
Industry
Net Income
$1.3 billion
Founded
1868
5 Year Trend
+0.2%
NASDAQ

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