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Temporary Treasury Risk Management Jobs in Phoenix, AZ

CFO

Scottsdale, AZ ยท On-site

The CFO will oversee all aspects of the finance organization, including accounting, financial planning and analysis, budgeting, forecasting, compliance, reporting, treasury, risk management, and the ...

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Temporary Treasury Risk Management information

See Phoenix, AZ salary details

$49.6K

$99.8K

$147.4K

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

As of Aug 4, 2026, the average yearly pay for temporary treasury risk management in Phoenix, AZ is $99,825.00, according to ZipRecruiter salary data. Most workers in this role earn between $81,900.00 and $118,200.00 per year, depending on experience, location, and employer.

What is the difference between Temporary Treasury Risk Management vs Treasury Analyst?

AspectTemporary Treasury Risk ManagementTreasury Analyst
CertificationsCPA, CFA, or Treasury certifications often preferredSame certifications often required or preferred
Work EnvironmentProject-based, short-term assignments within finance departmentsFull-time, ongoing roles within corporate treasury teams
ResponsibilitiesFocus on risk mitigation, cash flow management, and short-term financial strategiesManage daily cash positions, financial reporting, and liquidity analysis
Industry UsageCommon in financial services, corporations, and consulting firmsPrimarily in large corporations' finance departments

Temporary Treasury Risk Management professionals typically work on short-term projects focusing on risk and cash management, often on a contract basis. Treasury Analysts hold ongoing roles with broader responsibilities in daily treasury operations. Both roles require similar credentials and are integral to corporate finance teams, but differ mainly in duration and scope of work.

Full-time

Posted 5 days ago


Job description

Treasury Operationsย 

  • Oversee daily cash positioning and liquidity management across domestic and international bank accounts.ย 
  • Review and approve wire transfers, ACH payments, intercompany funding, and other treasury transactionsย in accordance withย established controls.ย 
  • Manage bank account administration, including account openings and closures, KYC compliance, authorized signer maintenance, and banking platform administration.ย 
  • Administer corporate card programs and related banking services.ย 
  • Build andย maintainย strong banking relationships while evaluating and implementing treasury management services and banking solutions.ย 
  • Ensure compliance with treasury policies, internal controls, banking regulations, and company governance requirements.ย 
  • Oversee fraud prevention activities, including Positive Pay administration, payment controls, and other treasury risk management processes.ย 
  • Develop, document, andย maintainย treasury policies, procedures, and standard operating practices.ย 

Forecasting & Reportingย ย 

  • Partner with FP&A to improve short- and long-term cash forecasting processes and forecast accuracy.ย 
  • Prepare and oversee treasury reporting, including cash reporting, liquidity analysis, debt reporting, and other management reporting.ย 
  • Partner with Accounting to support month-end close activities, cash reconciliations, journal entries, audits, and financial reporting.ย 
  • Identifyย opportunities toย leverageย AI, automation, and emerging technologies to streamline treasury operations, improve forecasting and reporting, enhance decision-making, and reduce manual effort.ย 
  • Evaluate, recommend, and implement treasury technologies that improve productivity, strengthen controls, and support organizational growth.ย 

Leadershipย 

  • Lead, coach, develop, and evaluate Treasury team members through performance management, mentoring, and career development.ย 
  • Establish team priorities and ensure efficient execution of daily treasury operations and strategic initiatives.ย 
  • ย 
    • Foster a culture of accountability, continuous improvement, innovation, and operational excellence.ย 
    ย 
    • Serve as the primary escalation point for treasury operational issues, banking matters, and complex payment inquiries.ย 
    ย 
    • Lead treasury transformation initiatives that improve operational efficiency, scalability, internal controls, and employee experience.
    • ย 

    EDUCATIONย 

  • ย Bachelor's degree in Finance, Accounting, or a related field required.ย ย 

    EXPERIENCEย ย 

    • 7+ years of progressive treasury, corporate finance, or cash management experience, including responsibility for cash positioning, liquidity management, and treasury operations.ย 
    ย 
    • Minimum of 2 years of leadership or supervisory experience managing or mentoring staff.ย 
    ย 
    • Experience managing multiple bank accounts in a multi-entity environment.ย 
    ย 
    • Experience leading treasury process improvements, system implementations, or transformation initiatives.ย 
    ย 
    • Experienceย utilizingย treasury management systems (TMS), ERP systems, banking platforms, and financial reporting tools.ย 
    ย 
    • Experienceย leveragingย automation, AI-enabled tools, or technology solutions to improve treasury operations is preferred.ย 
    ย ย 

    ย REQUIREMENTSย ย 

    • Strong understanding of treasury operations, cash management, and banking services.ย 
    ย 
    • Ability to manage multiple priorities while meeting deadlines in a fast-paced environment.ย 
    ย 
    • Strong analytical and problem-solving capabilities.ย 
    ย 
    • Excellent verbal and written communication skills.ย 
    ย 
    • High levelย of integrity, professionalism, and sound business judgment.ย 
    ย 
    • Proficiencyย with Microsoft Excel and Microsoft Office applications.ย 
    ย 
    • Ability to work collaboratively across departments and with external financial institutions.ย 
    ย 
    • Ability toย maintainย confidentiality of sensitive financial information.ย 
    ย ย 
    ย 

    KNOWLEDGEย ย 

    ย 
    • Cash positioning, liquidity management, and cash forecasting methodologies.ย 
    ย 
    • Banking products and services, including ACH, wire transfers, Positive Pay, corporate cards, and online banking platforms.ย 
    ย 
    • Treasury internal controls, fraud prevention, and payment security.ย 
    ย 
    • Bank account administration, KYC requirements, and authorized signer governance.ย 
    ย 
    • Financial statement fundamentals and accounting principles related to treasury.ย 
    ย 
    • Debt administration and treasury reporting.ย 
    ย 
    • Treasury management systems (TMS) and ERP financial systems.ย 
    ย 
    • Internal control frameworks, audit requirements, and regulatory compliance.ย 
  • ย 
    • Proven leadership and people development capabilitiesย 
    ย 
    • Strategic financial analysis, treasury operations, cash forecasting, and liquidity managementย ย ย 
    • Project leadership, process optimization, and change managementย 
    ย 
    • Advanced analytical, reporting, and financial modeling skillsย 
    ย 
    • Strong communication, organizational, decision-making, and problem-solving abilitiesย 
    ย 
    • Advancedย proficiencyย with Microsoft Excel, ERP systems, treasury management systems, and banking platforms, with a focus on technology adoption and continuous improvement.ย 
    ย ย 
  • ย ABILITIESย ย ย 

    • Work creatively and cohesively with management, department staff, and multiple teams to achieve objectives ย 
    ย 
    • Work to deadlines, iteratively update on progress and drive resultsย ย 
    ย 
    • Attention to detail and desire for continuous learning and growthย ย 
    ย 
    • Work under multiple priorities in a fast paced, complex environmentย ย ย 
    • Banking relationship management and treasury technology expertise
    • Communicate effectively and clearly, verbally and in writing/presentations, ability to convey financial results to non-financial leaders.ย 
    • ย 
  • ย 

    ENVIRONMENTAL WORKING CONDITIONSย ย 

    ย ย 
    • Standard office environmentย 
    ย 
    • Limited travel may beย requiredย for business meetings, training, or company events.ย 
      ย 
    ย 

    PHYSICAL/MENTAL DEMANDSย ย 

    ย ย 
    • Requires sitting and standing associated with a normal office environment.ย ย 
    ย 
    • Manual dexterity using a calculator and computer keyboard.ย 
    ย ย 

    ย 

  • ORGANIZATIONAL REQUIREMENTSย ย 

    ย ย 
    • HOPCoย Mission, Vision and Valuesย must beย acknowledged and adhered toย 
    ย ย 

    This description is intended to provide only basic guidelines for meeting job requirements. Responsibilities, knowledge, skills,ย abilitiesย and working conditions may change as needs evolve.ย 

    ย