Manages the Bank’s liquidity portfolio, borrowings, investment analyses and other financial affairs. The position has direct responsibility for the activities and functions of the treasury, investments, funding and asset-liability departments. Effectively maximize returns from investments while controlling the basic element of risk. Responsible for providing adequate backup liquidity and to ensure that the need of the community that is served by the financial institution is met. This position serves as a member of the Senior Management team with direct responsibilities for comprehensive strategic planning in the growth, effectiveness and profitability of the Bank. The position develops strategic direction and tactical plans for all treasury functions of the bank.