Treasury Analyst - Liquidity Regulatory Reporting

Charles Schwab Corporation • Westlake, Texas • Full Time

Posted on Tue, Sep 1, 2026

Your Opportunity

At Schwab, you’re empowered to make an impact on your career. Here, innovative thought meets creative problem solving, helping us “challenge the status quo” and transform the finance industry together.

The Liquidity Risk Management group within Treasury manages liquidity planning across the corporation and its subsidiaries, including our bank and broker-dealers. We monitor regulatory ratios and adherence, and develop associated tools to assist our business partners in analyzing the liquidity impacts of business decisions. We are responsible for the development of robust contingency liquidity analyses and plans, as well as developing liquidity risk models to help identify emerging risks. This group is responsible for the design of company liquidity management policies, ensuring compliance at all times, and escalating to senior management as necessary. The Treasury Manager position is an individual contributor role.

What you have

What you'll do:

In addition to the salary range, this role is also eligible for bonus or incentive opportunities.

AuditFriendly salary estimate

The employer did not post a salary for this role. Based on AuditFriendly's salary intelligence model (comparable live postings, role, seniority, and location), we estimate base pay of $73,000–$98,000 per year (median ~$85,000). This is an AuditFriendly estimate, not an employer-provided figure.

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