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Director Treasury Risk Management Jobs in Oregon

... risk, and treasury risk. We partner with first-line business functions, senior and executive ... years of direct people management experience leading technology risk, information security ...

Treasury Services Manager

Milwaukie, OR

$87K - $134K/yr

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

Provide direct leadership to managers, supervisors and individual contributors by coaching ... Strong understanding of treasury/accounting operations, financial controls, and risk management

Treasury Services Manager

Milwaukie, OR · On-site

$87K - $134K/yr

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

Provide direct leadership to managers, supervisors and individual contributors by coaching ... Strong understanding of treasury/accounting operations, financial controls, and risk management

Treasury Services Manager

Milwaukie, OR · On-site

$100 - $130/hr

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

High level of financial acumen, including risk awareness and management * Detail-orientation with ... of corporate treasury finance experience * 3-5 years of leadership experience Benefits A ...

Advise clients on treasury operations, risk management, and technology practices to improve efficiency, strengthen controls, and support business objectives. * Build and maintain client relationships ...

Company Description Deegit inc • Core BANKING a MUST NEEDED SKILLS • APP • Treasury and Risk Management. • Electronic Bank Statements • SEPA • Bank Master Data • Payroll interfaces and ...

Treasury Management Officer II - FinTech

Portland, OR

$100K - $202K/yr

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

As a Treasury Management Officer II within PNC's Treasury Management Sales organization, you will ... Manages risk/return and drives quality for new and/or existing clients. Actively identifies and ...

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Director Treasury Risk Management information

What does a director treasury risk management do?

A Director of Treasury Risk Management oversees an organization's financial risks, including liquidity, interest rate, currency, and credit risks. They develop strategies to mitigate these risks, ensure compliance with financial regulations, and manage relationships with banks and financial institutions. Their responsibilities also include forecasting cash flow, implementing hedging strategies, and advising senior management on risk exposures and financial policies. This role is crucial in safeguarding the organization's financial stability and supporting strategic financial planning.

What are the key skills and qualifications needed to thrive as a director treasury risk management, and why are they important?

To thrive as a Director of Treasury Risk Management, you need deep expertise in financial risk analysis, cash management, and treasury operations, typically supported by a degree in finance or accounting and relevant certifications such as CTP or CFA. Proficiency with risk assessment tools, treasury management systems (TMS), and financial modeling software is essential. Outstanding leadership, strategic thinking, and excellent communication skills help you influence decision-makers and guide teams effectively. These capabilities are crucial for safeguarding an organization's financial health, ensuring regulatory compliance, and optimizing risk-return outcomes.

What are some common challenges faced by a director treasury risk management, and how can they be addressed?

A Director of Treasury Risk Management often faces challenges such as rapidly changing market conditions, regulatory compliance, and maintaining effective communication across departments. Managing liquidity risks, currency fluctuations, and interest rate exposures requires strong analytical skills and the ability to implement robust risk mitigation strategies. Proactively collaborating with finance, legal, and executive teams helps ensure alignment on risk policies and timely decision-making. Staying updated on industry best practices and regulatory changes is essential for maintaining effective risk frameworks and supporting organizational goals.

What are the most commonly searched types of Treasury Risk Management jobs in Oregon?

The most popular types of Treasury Risk Management jobs in Oregon are:

What job categories do people searching Director Treasury Risk Management jobs in Oregon look for?

The top searched job categories for Director Treasury Risk Management jobs in Oregon are:

What cities in Oregon are hiring for Director Treasury Risk Management jobs?

Cities in Oregon with the most Director Treasury Risk Management job openings:

Infographic showing various Director Treasury Risk Management job openings in Oregon as of August 2026, with employment types broken down into 71% Full Time, 26% Part Time, 1% Temporary, and 2% Contract. Highlights an 87% Physical, 3% Hybrid, and 10% Remote job distribution.

Director, Deposit Operations & Treasury Management

Climate First Bank

OR • On-site, Remote

Full-time

Posted 22 days ago


Job description

Position Summary

Climate First Bank is seeking an experienced Director of Deposit Operations & Treasury Management to serve as the primary owner and subject matter expert for the Bank's Deposit Operations and Treasury Management Operations. The Director of Deposit and Treasury Operations is responsible for overseeing all business functions related to Deposit and Treasury Management Operations Services & Support. Responsibilities include the synchronization of daily back-office operations, wires, ACH's, core system processing, and other related departments.

The ideal candidate will have a strong understanding of banking operations and excellent leadership skills. This individual will partner closely with senior leadership to ensure the bank's operations departments are set up to support growth, risk management, customer experience, and operational efficiency.

Primary Responsibilities: 

  • Lead day-to-day operations for all deposit operations functions, including but not limited to: Deposit account onboarding and maintenance, wires, debit card operations, ACH, Check processing and returns, and online banking.
  • Lead the Treasury Management team and maintain responsibility for commercial treasury management operations.
  • Plan operational improvements, resolve operational problems, and take corrective action to ensure effective operations. Determine staffing requirements; oversight of selection, development, and management of staff; direct training and development of staff to ensure operational depth and maximize use of strengths and abilities. Assist in the development of the department budget, monitor expenditures, and explain variances.
  • Develop and maintain all department policies and procedures. Ensure compliance with department procedures and control standards, adjusting existing and/or implementing additional controls as needed.
  • Coordinate department preparation and short/long-term responses to internal and external audits and exams.
  • Manage Treasury Management and Deposit Operations responsibilities related to conversions, project plans, product enhancements and implementations, process integration with other departments, and Treasury Management and Deposit Operation's disaster recovery plan(s).
  • Coordinate with other departments on the implementation of new products and services. Remain knowledgeable of banking industry trends or issues in order to assist in the assessment of needs and opportunities for service enhancements or new products.

Requirements:

  • Bachelor's Degree strongly preferred.
  • 10+ Prior banking experience required.
  • Experience leading diverse teams from entry level to middle manager.
  • Sound education in financial products and services, banking regulations and laws.
  • Strong accounting and math skills.
  • Ability and desire to thrive in a fast-paced, high-pressure environment with frequent routine changes. Ability to multi-task and prioritize with ease.
  • Highly organized self-starter with impeccable attention to detail and the ability to complete assignments with little oversight and supervision.
  • Effective communicator with strong active listening skills, excellent writing and speaking skills and the ability to compose professional correspondence. Must be able to communicate tactfully and empathetically with customers, employees, and Bank management.
  • Proficient in the Microsoft Office suite of products to include Word, Excel, Outlook as well as other software used in the department.

Qualifications & Experience

Required

  • Bachelor's degree; equivalent banking experience may be considered.
  • 10+ years of banking experience.
  • Minimum of three years of management experience.
  • Strong understanding of deposit operations, loan operations, general ledger, treasury management, digital banking, and banking compliance requirements.
  • Ability to communicate with, and work effectively with senior leadership, business users, technical teams, auditors, and vendors.

 Preferred

  • Jack Henry SilverLake experience.
  • Experience with Jack Henry applications such as Enterprise Workflow, Cognos, Xperience, Banno, Treasury Management, DirectLine, PayCenter/FedNow, or related solutions.