2

Remote Treasury Manager Jobs in Oregon (NOW HIRING)

Cash Management & Treasury Service Setup * Assist clients with setup and management of digital ... Prior experience working in a digital-first or remote banking environment preferred.

The Treasury team supports sustainable growth by maintaining reliable access to funding, managing ... Remote Travel requirements As a digital first company, the majority of your work can be ...

... Treasury, and Compliance teams to deliver a seamless investor experience. As the Investor ... Remote Time zone requirements - West Coast (PST/PT) hours strongly preferred. Travel requirements ...

Director of Tax

OR · On-site +1

This is a remote-friendly opportunity that can sit in NYC (where our headquarters is located), one ... Plan for and develop overall return calendar and coordinate timing with treasury management for ...

Director of Tax

OR · On-site +1

$195K - $215K/yr

... remote company. Director of Tax The Director of Tax is responsible for developing, leading, and ... Manage federal, state, local, and international tax compliance through external advisors while ...

Senior Finance Manager, WCM

OR · On-site +1

$108K - $148K/yr

We are open to this role being either in New York, Palo Alto, Seattle, or Remote US ... treasury activities and providing operational redundancies to ensure no single points of failure.

... risk, and treasury risk. We partner with first-line business functions, senior and executive ... Remote Travel requirements As a digital first company, the majority of your work can be ...

Senior Software Engineer - Capital Insights

OR · On-site +1

$122K - $161K/yr

... manage their portfolios. The team builds and maintains APIs, data pipelines, data models, and ... Remote Time zone requirements The team operates on the East/West coast time zones. Travel ...

Sr Software Engineer - Lending Platform

OR · On-site +1

$122K - $161K/yr

... Treasury and other financial platforms. How you'll make an impact * Design, build, and operate ... Knowledge of financial systems, accounting processes, or capital risk management. * Experience ...

Account Executive

OR · On-site +1

Manage complex, full-cycle B2G sales , from initial outreach and discovery through RFP/RFI response ... Develop deep relationships with stakeholders (elected officials, treasurers, tax collectors, CIOs ...

Remote Full-Time Exempt Preference for West Coast based candidates; occasional onsite presence in Oregon required. Position Summary Antica Terra is seeking a Finance & Accounting Manager to partner ...

Sr. Account Executive

OR · On-site +1

$90K - $110K/yr

... managing a growing funnel of opportunities in Salesforce and using other tools to give you a ... Become an expert in how CFOs/CAOs/CIOs think about their business and what Controllers/Treasurers ...

This role is remote-based on the continental US. Main responsibilities: Technical Accounting ... managing PBC (prepared-by-client) deliverable lists. * Prepare process walkthroughs and build ...

FP&A Analyst/Manager

OR · On-site +1

$85K - $106K/yr

Senior FP&A Analyst/Manager Location ... Remote (U.S.) or Hybrid (preferred near key hubs) Reports To: VP Finance Department: Finance Level:

As our Accounting Manager you'll be our day-to-day team leader. If you thrive in a fast-paced environment and love problem-solving, this is the role for you! You will play a key role in making sure ...

next page

Showing results 1-20

Remote Treasury Manager information

What is a remote treasury manager?

A Remote Treasury Manager is a financial professional who oversees an organization's treasury functions, such as cash management, liquidity planning, risk management, and banking relationships, while working from a remote location. They ensure that the company has enough cash flow to meet its obligations, optimize financial processes, and minimize financial risks. The role typically involves using digital tools and communication platforms to collaborate with colleagues and financial institutions. Remote Treasury Managers play a key role in maintaining the financial health and efficiency of an organization.

What are the key skills and qualifications needed to thrive as a remote treasury manager?

A Remote Treasury Manager needs expertise in cash management, financial analysis, and risk assessment, typically supported by a degree in finance or accounting and relevant experience. Familiarity with treasury management systems (TMS), ERP platforms, and often certifications such as CTP (Certified Treasury Professional) are important for the technical side of the role. Strong communication, problem-solving abilities, and self-motivation are essential soft skills for effective remote collaboration and decision-making. These skills are crucial to ensure accurate financial oversight, mitigate risks, and maintain smooth cash flow operations from a remote environment.

How does a remote treasury manager effectively collaborate with global finance teams?

A Remote Treasury Manager typically works closely with colleagues across multiple time zones, leveraging digital communication tools such as video conferencing, shared financial platforms, and real-time chat applications. Successful collaboration involves setting clear expectations, maintaining proactive communication, and staying aligned on deadlines for cash management, liquidity planning, and risk mitigation activities. Regular virtual meetings and transparent reporting help ensure that all team members are informed and coordinated, despite the physical distance. This structure fosters strong working relationships and ensures treasury objectives are met efficiently.

What is the difference between Remote Treasury Manager vs Remote Treasury Analyst?

AspectRemote Treasury ManagerRemote Treasury Analyst
Required CredentialsBachelor's degree in Finance or Accounting; often CPA or CFA preferredBachelor's degree in Finance, Accounting, or related field; certifications less common
Work EnvironmentOversees treasury operations, manages teams, strategic planningSupports treasury functions, analyzes data, assists in cash management
Employer & Industry UsageFinancial institutions, corporations, large enterprisesCorporations, financial services, consulting firms
Search & Comparison IntentLooking for senior-level treasury roles with leadership responsibilitiesSeeking entry to mid-level treasury roles focused on analysis

The Remote Treasury Manager typically holds a leadership role, overseeing treasury operations and strategy, requiring advanced credentials. In contrast, the Remote Treasury Analyst focuses on supporting treasury functions through data analysis, often with fewer certifications. Both roles are common in large corporations and financial institutions, but they differ in responsibilities and seniority level.

What are popular job titles related to Remote Treasury Manager jobs in Oregon?

For Remote Treasury Manager jobs in Oregon, the most frequently searched job titles are:

What job categories do people searching Remote Treasury Manager jobs in Oregon look for?

The top searched job categories for Remote Treasury Manager jobs in Oregon are:

What cities in Oregon are hiring for Remote Treasury Manager jobs?

Cities in Oregon with the most Remote Treasury Manager job openings:

Infographic showing various Remote Treasury Manager job openings in Oregon as of August 2026, with employment types broken down into 84% Full Time, 15% Part Time, and 1% Contract. Highlights an 81% Physical, 2% Hybrid, and 17% Remote job distribution.

Director, Deposit Operations & Treasury Management

Climate First Bank

OR • On-site, Remote

Full-time

Re-posted 2 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.