Director, Treasury
AtheneAbout the role
We are driven to do more. More for our customers and the financial professionals who offer our products. If you are driven to do more and love the challenge of pursuing more, Athene is your kind of company. You will find we offer more than the basics to create an inclusive and dynamic work environment at our various locations.
Purpose:
This role requires the ability to seamlessly integrate strategic execution with operational process excellence and associated controls. You will partner with senior leadership across capital, liquidity, and collateral management, and will be supported by teams in the US and India. The ideal candidate is an experienced leader with demonstrated ability for strategic thinking, problem solving, and strong knowledge of capital, liquidity, and collateral management within a financial institution.
Accountabilities:
- Contribute to the design, enhancement, and ongoing maintenance of liquidity and capital stress testing methodologies across firmwide, consolidated, and legal entity levels, ensuring alignment with regulatory expectations and internal risk appetite
- Establish and maintain standardized stress metrics, assumptions, and reporting frameworks across legal entities and consolidated views to enable consistent, transparent, and comparable risk assessment
- Develop end-to-end documentation of stress testing methodologies, models, assumptions, and governance processes, supporting regulatory exams, internal audits, and risk management reviews
- Provide analytical oversight of stress testing results, including scenario design, sensitivity analysis, limit monitoring, and identification of key risk drivers and emerging vulnerabilities
- Support daily treasury operations, ensuring process excellence, scalability, and alignment with internal control and regulatory requirements
- Partner with Treasury, Risk, and ISG to ensure strong governance, effective challenge, and appropriate use of stress testing outputs in capital and liquidity decision-making
- Drive continuous improvement initiatives by enhancing analytical tools, controls, and processes to increase efficiency, accuracy, and scalability of stress testing frameworks
- Partner with liquidity team resources in India to ensure a holistic and consistent delivery model
- Foster a culture of continuous improvement and excellence within the finance team
Qualifications and Experience:
- 7+ years of experience in Treasury or a related field within the financial services industry
- 4+ years of leadership experience
- Proven track record to drive continuous change and improvement
- Strong conceptual understanding of capital, liquidity, and collateral management as it relates to a financial services firm, insurance knowledge is a strong plus
- Strong tech forward mind-set, proficiency in AI tools, Excel, Python and other platforms is a strong plus. Strong financial acumen and analytical skills
- Proven track record in delivering and overseeing strategic initiatives
- Excellent communication, presentation, and interpersonal skills
- Strong leadership and team management skills
- Ability to work in a fast paced, multi-faceted environment, and drive influence
- Ability to present to senior executives and Board committees
Education:
- Bachelor’s degree in Finance, Accounting, Economics, or a related field
- MBA or Chartered Financial Analyst (CFA) or CPA designation are a plus
$192,000.00 - $288,000.00 USD Annual
Annual Salary for this role is market competitive. Actual salary for all roles will be based upon geographic location, work experience, education, licensure requirements and/or skill level and will be finalized at the time of offer. Depending on the role, a discretionary bonus plan or variable sales incentive may be included.
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