Senior Director, Treasury Position Summary The Senior Director, Treasury is responsible for leading ... Risk Management * Develop and maintain treasury risk management practices related to liquidity ...
Senior Director, Treasury Position Summary The Senior Director, Treasury is responsible for leading ... Risk Management * Develop and maintain treasury risk management practices related to liquidity ...
Senior Director, Treasury Position Summary The Senior Director, Treasury is responsible for leading ... Risk Management * Develop and maintain treasury risk management practices related to liquidity ...
Senior Director, Treasury Position Summary The Senior Director, Treasury is responsible for leading ... Risk Management * Develop and maintain treasury risk management practices related to liquidity ...
Director, Treasury
Hartford, CT · On-site
$170K - $200K/yr
Position Summary The Director, Treasury is a strategic finance leader responsible for optimizing ... This role partners closely with Finance, Investments, Risk Management, Actuarial, Corporate ...
Director, Treasury
Hartford, CT · On-site
$170K - $200K/yr
Position Summary The Director, Treasury is a strategic finance leader responsible for optimizing ... This role partners closely with Finance, Investments, Risk Management, Actuarial, Corporate ...
SAP Treasury Consultant (SAP S/4HANA Treasury & Risk Management - TRM) Location: Parsippany, NJ (Hybrid - Monday to Thursday Onsite) Duration: 12+ Months Employment Type: 1099 / W2 Industry:
New
SAP Treasury Consultant (SAP S/4HANA Treasury & Risk Management - TRM) Location: Parsippany, NJ (Hybrid - Monday to Thursday Onsite) Duration: 12+ Months Employment Type: 1099 / W2 Industry:
New
Director, Treasury
New York, NY · On-site
$130K - $200K/yr
... Treasury professional to join our team at the Senior Associate or Director Level. This role will ... risk management initiatives. The ideal candidate will bring strong capital markets experience ...
Director, Treasury
New York, NY · On-site
$130K - $200K/yr
... Treasury professional to join our team at the Senior Associate or Director Level. This role will ... risk management initiatives. The ideal candidate will bring strong capital markets experience ...
Director, Treasury
Manhattan, NY · On-site
$150 - $210/hr
We're seeking a future team member for the role of Director to join our Pershing Treasury team ... Liaise with Cash Management, Regulatory Reporting, Risk, and Operations, as necessary, to ensure ...
Director, Treasury
Manhattan, NY · On-site
$150 - $210/hr
We're seeking a future team member for the role of Director to join our Pershing Treasury team ... Liaise with Cash Management, Regulatory Reporting, Risk, and Operations, as necessary, to ensure ...
SAP Treasury Consultant (SAP S/4HANA Treasury & Risk Management (TRM) **Travel is required every week Monday-Thursday. **Location Parsippany, NJ. Travel Type: Weekly Commute (expenses paid) Duration ...
New
SAP Treasury Consultant (SAP S/4HANA Treasury & Risk Management (TRM) **Travel is required every week Monday-Thursday. **Location Parsippany, NJ. Travel Type: Weekly Commute (expenses paid) Duration ...
New
Treasury Risk- AVP
New York, NY · Hybrid
$120K - $152K/yr
The Treasury Risk role is responsible for managing MUFG's Liquidity risk exposure. It involves ... have a direct, adverse and negative relationship potentially resulting in the withdrawal of ...
Posted today
Treasury Risk- AVP
New York, NY · Hybrid
$120K - $152K/yr
The Treasury Risk role is responsible for managing MUFG's Liquidity risk exposure. It involves ... have a direct, adverse and negative relationship potentially resulting in the withdrawal of ...
Posted today
Director, Treasury
New York, NY · On-site
We're seeking a future team member for the role of Director to join our Pershing Treasury team ... risk Liaise with Cash Management, Regulatory Reporting, Risk, and Operations, as necessary, to ...
Director, Treasury
New York, NY · On-site
We're seeking a future team member for the role of Director to join our Pershing Treasury team ... risk Liaise with Cash Management, Regulatory Reporting, Risk, and Operations, as necessary, to ...
The SAP Treasury Consultant is responsible for the design, configuration, and implementation of SAP S/4HANA Treasury & Risk Management (TRM) solutions. The role requires deep functional expertise ...
The SAP Treasury Consultant is responsible for the design, configuration, and implementation of SAP S/4HANA Treasury & Risk Management (TRM) solutions. The role requires deep functional expertise ...
Director, Treasury
New York, NY · On-site
We're seeking a future team member for the role of Director to join our Pershing Treasury team ... Cash Management, Regulatory Reporting, Risk, and Operations, as necessary, to ensure ongoing ...
Director, Treasury
New York, NY · On-site
We're seeking a future team member for the role of Director to join our Pershing Treasury team ... Cash Management, Regulatory Reporting, Risk, and Operations, as necessary, to ensure ongoing ...
Group Risk Specialist, Operational Risk Management (2nd Line of Defense) - U.S. Treasury
New York, NY · On-site
$91K - $145K/yr
S. Operational Risk Management and serves as an independent second line of defense partner to the 1st Line U.S. Treasury function. The position is responsible for providing effective oversight ...
Group Risk Specialist, Operational Risk Management (2nd Line of Defense) - U.S. Treasury
New York, NY · On-site
$91K - $145K/yr
S. Operational Risk Management and serves as an independent second line of defense partner to the 1st Line U.S. Treasury function. The position is responsible for providing effective oversight ...
Group Risk Specialist, Operational Risk Management (2nd Line of Defense) - U.S. Treasury
New York, NY · On-site
$91K - $145K/yr
S. Operational Risk Management and serves as an independent second line of defense partner to the 1st Line U.S. Treasury function. The position is responsible for providing effective oversight ...
Group Risk Specialist, Operational Risk Management (2nd Line of Defense) - U.S. Treasury
New York, NY · On-site
$91K - $145K/yr
S. Operational Risk Management and serves as an independent second line of defense partner to the 1st Line U.S. Treasury function. The position is responsible for providing effective oversight ...
The SAP Treasury Consultant is responsible for the design, configuration, and implementation of SAP S/4HANA Treasury & Risk Management (TRM) solutions. The role requires deep functional expertise ...
New
The SAP Treasury Consultant is responsible for the design, configuration, and implementation of SAP S/4HANA Treasury & Risk Management (TRM) solutions. The role requires deep functional expertise ...
New
Strong functional experience in SAP S/4HANA Treasury & Risk Management (TRM). Proven expertise in Cash & Liquidity Management , including configuration and forecasting, with hands on experience in ...
New
Strong functional experience in SAP S/4HANA Treasury & Risk Management (TRM). Proven expertise in Cash & Liquidity Management , including configuration and forecasting, with hands on experience in ...
New
... management. 2.Strong working knowledge of CCAR stress testing or scenario-driven stress testing ... treasury analytics. 3.Collaborate on the development of REST APis that interface with scenario ...
... management. 2.Strong working knowledge of CCAR stress testing or scenario-driven stress testing ... treasury analytics. 3.Collaborate on the development of REST APis that interface with scenario ...
Manager FIS Integrity
Manhattan, NY · Hybrid
Zanders specializes in treasury & risk management solutions, and with the growing number of projects and expansion plans, we are looking to hire someone who has the ambition not only to further grow ...
Quick apply
Manager FIS Integrity
Manhattan, NY · Hybrid
Zanders specializes in treasury & risk management solutions, and with the growing number of projects and expansion plans, we are looking to hire someone who has the ambition not only to further grow ...
... risk management, cash flow forecasting, international funding and repatriation and capital ... total experience directing Treasury for a Fortune company Experience in capital markets, risk ...
... risk management, cash flow forecasting, international funding and repatriation and capital ... total experience directing Treasury for a Fortune company Experience in capital markets, risk ...
Manager FIS Integrity
Manhattan, NY · On-site +1
Zanders specializes in treasury & risk management solutions, and with the growing number of projects and expansion plans, we are looking to hire someone who has the ambition not only to further grow ...
Manager FIS Integrity
Manhattan, NY · On-site +1
Zanders specializes in treasury & risk management solutions, and with the growing number of projects and expansion plans, we are looking to hire someone who has the ambition not only to further grow ...
As the Managing Director, Treasury Quantitative Lead in Consumer and Community Banking, you'll ... risk (asset-liability management), and balance sheet optimization * Develop, generate buy-in, and ...
As the Managing Director, Treasury Quantitative Lead in Consumer and Community Banking, you'll ... risk (asset-liability management), and balance sheet optimization * Develop, generate buy-in, and ...
Director Treasury Risk Management information
What does a director treasury risk management do?
What are the key skills and qualifications needed to thrive as a director treasury risk management, and why are they important?
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Medical, Dental, Vision, Life, Retirement, PTO
Posted 19 days ago
Conduent rating
6.0
Based on 186 frontline employees who took The Breakroom Quiz
36th of 71 rated call and contact centers
Job description
Senior Director, Treasury
Position Summary
The Senior Director, Treasury is responsible for leading the Company's treasury function, including liquidity management, cash forecasting, banking relationships, debt administration, treasury operations, financial risk management, and working capital optimization. This role partners closely with the Treasurer, CFO, Accounting, FP&A, Tax, and business leaders to ensure the Company's financial resources are effectively managed to support operational and strategic objectives.
The Senior Director, Treasury provides strategic leadership and oversight of treasury activities, drives process improvements and automation initiatives, strengthens financial controls, and develops strategies to optimize liquidity while managing risk. This position serves as a key advisor to senior leadership on treasury-related matters and contributes to the Company's overall financial strategy.
Key Responsibilities
Treasury Strategy & Leadership
- Lead the execution of the Company's treasury strategy to support business growth, operational efficiency, and financial objectives.
- Provide strategic recommendations regarding liquidity, working capital, financing, and treasury risk management.
- Partner with senior finance leaders to align treasury activities with broader corporate objectives.
- Identify opportunities to improve treasury performance, processes, and governance.
- Serve as a trusted advisor on treasury-related matters to executive leadership.
Liquidity Management & Cash Forecasting
- Direct enterprise-wide cash management and liquidity planning activities.
- Oversee short- and long-term cash flow forecasting processes.
- Monitor cash balances and funding requirements across the organization.
- Optimize cash usage and working capital to maximize liquidity and financial flexibility.
- Evaluate and implement strategies to improve cash forecasting accuracy and visibility.
Banking & Treasury Operations
- Lead relationships with domestic and international banking partners.
- Negotiate banking services, fee structures, and treasury-related agreements.
- Oversee bank account administration, payment processes, and cash management activities.
- Drive operational excellence through treasury process improvements and automation.
- Ensure effective management of treasury systems and banking platforms.
Debt Management & Corporate Finance Support
- Oversee debt administration activities, including credit facilities, loans, and other financing arrangements.
- Monitor compliance with debt covenants and reporting obligations.
- Support financing transactions, refinancing efforts, and capital planning activities.
- Provide financial analysis and recommendations related to funding and liquidity strategies.
- Partner with external lenders, financial institutions, and advisors as needed.
Risk Management
- Develop and maintain treasury risk management practices related to liquidity, interest rate, foreign exchange, and counterparty risk.
- Evaluate financial risks and recommend mitigation strategies.
- Monitor market conditions and economic trends affecting treasury activities.
- Ensure treasury activities are aligned with corporate risk management policies.
Governance, Compliance & Controls
- Establish and maintain strong internal controls over treasury activities.
- Ensure compliance with SOX requirements, corporate policies, and applicable regulations.
- Support internal and external audit activities.
- Develop and maintain treasury policies, procedures, and governance standards.
- Promote a strong control environment and risk-aware culture.
Cross-Functional Partnership
- Partner closely with Accounting, FP&A, Tax, Legal, Procurement, and business leaders.
- Support strategic initiatives including acquisitions, divestitures, restructurings, and business transformation efforts.
- Provide treasury expertise on enterprise-wide projects and financial initiatives.
- Prepare and present treasury reporting and analyses to senior leadership.
People Leadership
- Lead, mentor, and develop treasury team members.
- Establish clear goals, priorities, and performance expectations.
- Foster a high-performance, collaborative culture focused on continuous improvement.
- Build organizational capability and succession strength within the treasury function.
Qualifications
Education
- Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field required.
- MBA, CPA, CFA, or Certified Treasury Professional (CTP) preferred.
Experience
- 10-15+ years of progressive experience in treasury, corporate finance, banking, or related financial disciplines.
- Extensive experience in cash management, liquidity planning, cash forecasting, and banking relationship management.
- Experience managing debt facilities and treasury-related financial risks.
- Experience operating in a publicly traded company or large, complex organization preferred.
- Demonstrated success leading teams and cross-functional initiatives.
- Experience supporting executive leadership and strategic financial decision-making.
Pay Transparency Laws in some locations require disclosure of compensation and/or benefits-related information. For this position, actual salaries will vary and may be above or below the range based on various factors including but not limited to location, experience, and performance. In addition to base pay, this position, based on business need, may be eligible for a bonus or incentive. In addition, Conduent provides a variety of benefits to employees including health insurance coverage, voluntary dental and vision programs, life and disability insurance, a retirement savings plan, paid holidays, and paid time off (PTO) or vacation and/or sick time. The estimated salary range for this role is $190,000 - $260,000.
Through our dedicated associates, Conduent delivers mission-critical services and solutions on behalf of Fortune 100 companies and over 500 governments - creating exceptional outcomes for our clients and the millions of people who count on them. You have an opportunity to personally thrive, make a difference and be part of a culture where individuality is noticed and valued every day.
Conduent is an Equal Opportunity Employer and considers applicants for all positions without regard to race, color, creed, religion, ancestry, national origin, age, gender identity, gender expression, sex/gender, marital status, sexual orientation, physical or mental disability, medical condition, use of a guide dog or service animal, military/veteran status, citizenship status, basis of genetic information, or any other group protected by law.
For US applicants: People with disabilities who need a reasonable accommodation to apply for or compete for employment with Conduent may request such accommodation(s) by submitting their request through this form that must be downloaded: click here to access or download the form. Complete the form and then email it as an attachment to FTADAAA@conduent.com. You may also click here to access Conduent's ADAAA Accommodation Policy.
About Conduent
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Through our dedicated associates, Conduent delivers mission-critical services and solutions on behalf of Fortune 100 companies and over 500 governments - creating exceptional outcomes for our clients and the millions of people who count on them. You have an opportunity to personally thrive, make a difference and be part of a culture where individuality is noticed and valued every day.
Industry
It services
Company size
10,000+ Employees
Headquarters location
Florham Park, NJ, US
Year founded
2017