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VP Treasury, Liquidity Management

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Location: Dallas, TX, United States
Req ID: 017079

Job Description


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Ready to be a Cooper too? This might just be right up your alley!

We’re here to keep the dream of home ownership alive. Oh, and while we’re at it, we’re determined to change the lending industry itself. It’s simple, but it won’t be easy. And we’ll need a great team behind us. (That’s where you come in.) We want to show the world that transparency, candor and collaboration aren’t just good values. They’re good business. Working here isn’t for people who want to punch a clock. It’s for people who want to punch a hole in the status quo. Come join us. And make a difference instead of just a living.

This new role will lead the treasury liquidity and balance sheet management team for Mr. Cooper. The focus of the team is long term liquidity forecasting, balance sheet management and strategy. The role offers significant opportunities to work across the business lines and finance organization. Financial analysis, liquidity management and tactical cash forecasting are key along with the ability to prepare presentations and communicate effectively with senior and executive management.

Essential Job Functions

  • Responsible for leading the liquidity and balance sheet management function including a multi-level team

  • Liquidity and balance sheet modeling and reporting including model development

  • Deliver the company’s three-year liquidity plan and work with businesses to ensure execution and accountability

  • Assess balance sheet hedging and other strategic initiatives

  • Bridge financial planning, GAAP reporting and cash

  • Ability to effectively communicate across multiple levels within the organization

  • Deep understanding of liquidity and cash managemen

Functional Job Competencies

  • Significant experience managing liquidity and balance sheet exposures in a financial services environment

  • Strategic thinker capable of interpreting results and partnering with senior leadership in executing business initiatives

  • Exceptional aptitude in Microsoft Excel particularly managing, developing and back-testing forecasting models

  • Experience with Access, SQL or and databases is a plus

  • Understanding financial disclosures, FP&A and GAAP viewed favorably

  • Exceptional communication and presentation skills including PowerPoint

Education & Experience

  • BA degree in Finance/Accounting required; Masters/MBA/CPA/CTP/CFA certifications are a plus
  • Minimum of 12 years experience with 7 years in balance sheet management, liquidity planning or comparable corporate finance role preferably in financial services, mortgage servicing or banking
  • Team leadership experience required

Mr. Cooper is committed to nurturing a diverse and inclusive environment where every employee is empowered to be their authentic self.  We know that a large part of our success as a business is directly tied to our ongoing efforts to attract and retain diverse talent and maintain an inclusive environment where each employee can thrive.  Embracing and leveraging diversity through an inclusive work environment fosters new ideas, new insights, and constant innovation.  We strive to weave the principles of diversity and inclusion throughout the fabric of how we work, how we interact, and how we engage with our customers and the community.

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Primary Location Country:

United States of America

Posting Organization:

Mr. Cooper

Line of Business:

Accounting & Finance

Additional Posting Location(s):

Alternate Requisition:



Provides analytical support for multiple Treasury functions including cash management, liquidity forecasting, warehouse line negotiation and administration. Prepare quantitative analysis of advances (delinquency/servicer). Research, monitor risk and analyze corporate position of advances pledged to debt facilities.
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