Lead Commercial Banking Treasury & Liquidity Architect
Job Description
Job Title: Lead Commercial Banking Treasury & Liquidity Architect
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Location: Pittsburgh, PA
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Work Arrangement: Hybrid / Onsite (Client Preference)
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Employment Type: Contract
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Contract Duration: 8+ months
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Hourly Rate: $106.91/hr. on W2 OR $127.41/hr. on C2C
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Domain: Commercial Banking | Treasury, Liquidity & Risk Technology
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Application Deadline: August 29, 2026
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SKILLS REQUIRED:
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Primary (Must-Have):
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✔️Treasury, Liquidity Management, Cash Positioning, & ALM Domain Architecture
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✔️Enterprise Commercial Banking Solutions (Payments, Cash Management, Notional/Virtual Pooling)
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✔️Cloud-Native & Event-Driven Architecture (AWS/Azure/GCP, Microservices, Kafka/MQ, APIs)
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✔️Regulatory Compliance Frameworks (Basel III, LCR, NSFR, Liquidity Stress Testing)
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✔️Integration Architecture (Core Banking, SWIFT, RTP/FedNow, ACH, ERP Solutions)
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Secondary (Good to Have):
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✔️Hands-on Experience with Treasury Platforms (Kyriba, FIS Quantum, Finastra, Murex, SAP/Oracle Treasury)
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✔️TOGAF Enterprise Architecture Certification
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✔️Financial Certifications (CTP, CFA, or FRM)
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✔️Security & Access Control Governance for Financial Systems
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✔️Data Lake & Enterprise Treasury Data Modeling Architecture
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POSITION OVERVIEW
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We are looking for an experienced Lead Commercial Banking Treasury & Liquidity Architect to oversee a critical platform modernization initiative. The role bridges business, operations, risk, and technology functions to design target-state architectures for commercial banking platforms. The incumbent will lead end-to-end strategy for cash management, liquidity forecasting, asset-liability management (ALM), and real-time payment integrations, ensuring high scalability, enterprise security, and full regulatory compliance across global commercial banking operations.
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ROLES & RESPONSIBILITIES:
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✔️Architect target-state solution blueprints for cash positioning, intraday liquidity monitoring, cash pooling/sweeps, and regulatory reporting (LCR, NSFR, Basel III)
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✔️Lead architecture for commercial treasury management, API-led payments (RTP/FedNow, SWIFT, ACH), virtual accounts, and corporate portal ERP integrations
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✔️Drive treasury platform modernization by assessing legacy systems and transitioning to cloud-native, microservices, and event-driven architectures
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✔️Partner closely with Treasury Business Teams, Corporate Banking Product Owners, Risk & Compliance, and Tech Delivery to align technology roadmaps
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✔️Design enterprise treasury data models, security frameworks, and audit controls while conducting architecture reviews for complex multi-system environments
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BENEFITS
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Medical | Dental | Vision | 401(k)
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EEOC Compliance:
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We are an equal opportunity employer, and all qualified applicants will receive consideration for employment.
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DISCLAIMER
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AI Usage Policy: Pacer Group uses AI to assist in screening applications. Final hiring decisions are made by human recruiters based on qualifications and experience.
