Job Description
The VP, Treasury Management (TM) Product Manager serves as the strategic and operational owner of assigned Treasury Management products, providing full lifecycle leadership and direction. This role drives product strategy based on bank objectives, client needs, market insights, and innovative thinking. The position emphasizes new product development and roadmap execution while also overseeing day‑to‑day product management activities.
Responsibilities:
Manage FX product capabilities activities
Establish required processes, assess inherited risks, and develop policies, procedures and controls to mitigate risks
Implement and provide ongoing management and monitoring of the FX Ops and processes
Demonstrate deep knowledge of FX products including SPOT, derivatives (Forwards, Windows, NDFs, SWAPs, Vanilla Options), FX deposits, interbank trading, international payments, settlement processes, and risk mitigation
Lead day-to-day FX operations activities to meet established goals and appropriate turnaround time to meet regulatory requirements for time sensitive activities
Monitor productivity and proactively implement process improvements to ensure service quality, service level agreements and Operational Excellence
Establish and implement KRI and KPI metrics for tracking operational efficiency improvement
Implement processes to ensure that FX Operations complies with all federal, state, local laws and internal Bank policies
Perform periodic review of all processes including 3rd party vendor processing and audit of their process
Respond to internal and external audit requests and findings and implement remediation actions to any identified noncompliant processes or areas of concern
Perform all project duties as assigned by management
Participate and assist in new FX department initiatives involving technology, new products and improving client delivery of services
Perform other duties as assigned
Qualifications:
Bachelor’s degree in finance, Accounting, Business Administration, or Economics
CTP certification, preferred
Minimum of 5 years’ exposure to FX Operations and all FX related products
Advance knowledge of Foreign Exchange products and transactions and Deposit Account regulatory and compliance requirements
Strong FX Operations knowledge
Strong analytical and process improvement capabilities with accomplishment of efficiency gains/cost savings
Exceptional written and verbal communication skills - Ability to effectively interact with all levels of the organization including senior management
Excellent decision-making, problem solving and organizational skills with the ability to multi-task in a fast-paced environment
Ability to build effective relationships internally with multiple business units
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Job Details
Posted Date:
March 2, 2026
Job Type:
Business
Location:
Los Angeles, California, 90079, United States
Company:
Axos Bank
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.