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Director Treasury Risk Management Jobs (NOW HIRING)

The Director will oversee cash management, banking relationships, liquidity planning, investment strategies, and financial risk management while actively participating in day-to-day Treasury ...

... controls, and proactive risk management to support the organization's mission of ... Direct and develop a treasury team, establishing clear accountability frameworks ...

... proactive risk management to support the organization's mission of efficient infrastructure ... Direct and develop a treasury team, establishing clear accountability frameworks, performance ...

The Treasury Operations team is looking for a Credit Risk Director - Treasury . This includes ... Managers deliver success through empowerment and accountability by modeling, coaching, and caring.

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Description Envestnet is seeking a Principal Director, Treasury to join our Finance department ... Evaluate and implement solutions to managing interest rate and foreign exchange risk * Effectively ...

Risk Management & Compliance: * Ensure adherence to internal controls, foundation policies, and ... Director, Treasury Are you ready to unleash YOUR potential? As a next-generation public research ...

Partner with Legal and other key internal and external stakeholders on the PGA's risk management ... Direct the procurement and purchasing operations and implement strategies to provide the materials ...

Director, Treasury

Naperville, IL ยท On-site

$183K - $247K/yr

Direct daily treasury operations: cash positioning, collections, disbursements, and funding ... Expertise in debt management, risk mitigation, hedging, and cash flow forecasting. * Experience in ...

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$127K

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How much do director treasury risk management jobs pay per year?

As of Jun 20, 2026, the average yearly pay for director treasury risk management in the United States is $193,044.00, according to ZipRecruiter salary data. Most workers in this role earn between $157,500.00 and $224,500.00 per year, depending on experience, location, and employer.

What does a Director of 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 of 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 of 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.
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Director, Treasury

X Energy LLC

Rockville, MD โ€ข On-site

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Posted 17 days ago


Job description

X-energy LLC conducts a thorough recruiting process and will never issue offers without interview to discuss qualifications and responsibilities. All applications will be submitted via our company career page, www.x-energy.com/careers/. We will never ask you to provide payment information as part of the recruiting process. If anyone claiming to represent X-energy directs you in a manner otherwise, please contact us at www.x-energy.com/contact-us.

Job Description

This role will serve as the strategic leader of X-energy's Treasury function while maintaining hands-on involvement in daily operations. The ideal candidate will combine broad treasury expertise with financial acumen, and strategic thinking skills. The Director will oversee cash management, banking relationships, liquidity planning, investment strategies, and financial risk management while actively participating in day-to-day Treasury operations to ensure operational excellence in this critical function.


Job Profile Tasks/Responsibilities:

  • Treasury Strategy & Leadership
    • Develop and implement comprehensive Treasury strategies aligned with X-energy's business objectives and development timeline
    • Propose Treasury policies, procedures, and controls to safeguard company assets and optimize financial performance
    • Provide strategic advice to the CFO, CEO, and Board on capital structure, liquidity management, and financial risk
    • Collaborate with senior management on funding strategies for project finance, asset finance, and corporate operations
  • Cash Management & Operations
    • Actively manage daily, global cash positions and short-term investments to ensure optimal liquidity and returns
    • Oversee cash forecasting processes and maintain accurate cash flow projections
    • Lead banking relationship management while directly executing critical banking transactions
    • Develop and maintain key performance indicators for Treasury operations
    • Hands-on participation in daily Treasury activities including payment approvals, wire transfers, corporate purchasing card program and monitoring of daily cash balances and activity
  • Banking & Financing
    • Negotiate and structure credit facilities, term loans, and other debt instruments
    • Evaluate and implement project finance structures as appropriate
    • Maintain strong relationships with commercial and investment banks, government funding agencies, and other financial institutions
    • Lead debt compliance monitoring and reporting processes
    • Participate in capital formation activities in coordination with both Finance and Strategy teams
  • Investment Management
    • Develop and execute investment strategies for short and long-term liquidity
    • Evaluate investment performance and adjust strategies to balance risk, return, and liquidity
    • Review and approve significant investment decisions
  • Financial Risk Management
    • Design and implement strategies to manage interest rate, foreign exchange, and commodity price risks
    • Oversee execution of hedging strategies as appropriate
    • Monitor financial market conditions and recommend protective measures
    • Maintain compliance with risk management policies and report regularly to senior management
  • Treasury Systems & Technology
    • Evaluate, select, and implement Treasury management systems to support efficient operations
    • Drive continuous improvement in Treasury processes through technology and automation
    • Ensure robust controls and security measures for Treasury systems
    • Develop key Treasury metrics and dashboards for management reporting
  • Regulatory Compliance & Reporting
    • Ensure compliance with financial regulations
    • Prepare and review key Treasury reports for management, the Board, and external stakeholders
    • Maintain strong controls over Treasury activities
    • Participate in financial audits and regulatory examinations related to Treasury function
  • Maintain professional demeanor and behavior at all times in all forms of communication.
  • Perform other duties as assigned by senior leadership.

Job Profile Minimum Qualifications:

Required Qualifications

  • 10+ years of progressive experience in corporate Treasury, with at least 5 years in a senior Treasury role
  • Proven experience in cash management, banking relationships, debt financing, and financial risk management
  • Direct experience with Treasury operations and demonstrated ability to balance strategic and operational responsibilities
  • Comprehensive understanding of financial markets, capital raising, and debt instruments
  • Bachelor's degree in Finance, Accounting, or related field; MBA preferred
  • Strong financial modeling and analytical skills

Preferred Qualifications

  • Previous experience as Treasurer or Director of Treasury
  • Experience with project finance structures for large capital projects
  • Certified Treasury Professional (CTP) or similar professional qualification
  • Experience implementing and optimizing Treasury management systems
  • Working familiarity with SOX requirements

Personal Attributes

  • Exceptional analytical skills with attention to detail while maintaining strategic perspective
  • Ability to balance hands-on operational execution with strategic leadership
  • Strong communication skills to explain complex financial concepts to various stakeholders
  • Highest standards of integrity and ethics in handling company financial resources
  • Collaborative approach with ability to work effectively across all levels of the organization
  • Resilient under pressure with excellent judgment in financial decision-making
  • Continuous learning mindset to stay current with evolving treasury practices and technologies

Location: 530 Gaither Road, Rockville MD
Travel Expectations:10%
Work Site Expectations: 4 days a week in office
Hours:8:00am ET to 5:00pm ET, Monday - Friday

Compensation

As required by Maryland and other applicable state law, X Energy, LLC (X-energy) lists the expected compensation range for a publicly advertised job opportunity based upon the job requirements (e.g. education/training, experience, skill sets, etc.). Individual candidates who meet the job requirements for the posted position will be offered a salary within this range based on their respective levels of education/training, experience, and other qualifications unique to them. Salary ranges may vary based on the specific office location and region referenced in the posting to take into consideration differences in cost of living and may not be reflective of all regions. Please note that compensation ranges listed for US job postings reflect base salary only and do not include benefits or other incentives.

A reasonable estimate for this position at the level of experience required is:

$193,501 - $322,502. The compensation for this position is comprised of base salary plus an annual short term incentive which is variable, based on scope of responsibility and achievement of goals.

Position Job Classification

Full time - Exempt

Benefits

X Energy, LLC offers a robust benefits package that includes a 401K plan with an employer match, Medical/Dental /Vision Insurance, Life and Disability Insurance, Paid Time Off, and a Tuition Reimbursement/Professional Development policy that supports the continuing education of our employees.

An Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, or protected veteran status and will not be discriminated against on the basis of disability.

X Energy, LLC participates in E-Verify. Please visit the links below for more information about E-Verify and the protection of your Right to Work.

Right To Work Link: If you have the right to work, don't let anyone take it away (e-verify.gov)

E-Verify Participation Link: E-Verify Participation Poster English and Spanish