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Temporary Treasury Risk Management Jobs in Somerville, NJ

Treasury Risk- AVP

New York, NY · On-site

$120K - $152K/yr

The Treasury Risk role is responsible for managing MUFG's Liquidity risk exposure. It involves assessing and managing risks associated with MUFG's ability to meet its financial obligations. This ...

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 assessing and managing risks associated with MUFG's ability to meet its financial obligations. This ...

The Treasury team is for all aspects of treasury risk management including funding, liquidity management, cash flow forecasting, liquidity stress testing, and foreign exchange and interest rate risk ...

The Treasury team is for all aspects of treasury risk management including funding, liquidity management, cash flow forecasting, liquidity stress testing, and foreign exchange and interest rate risk ...

The Treasury team is for all aspects of treasury risk management including funding, liquidity management, cash flow forecasting, liquidity stress testing, and foreign exchange and interest rate risk ...

Treasury Analyst

New York, NY · On-site

$55 - $70/hr

They seek a temp Treasury Analyst to join their Manhattan, NY office. Responsibilities * Administer the Kyriba Treasury Management System, ensuring data integrity, process efficiency, and effective ...

New York, NY Duration: 7 months Group Description The Corporate Treasury team is responsible for client's corporate cash management, capital management, as well as liquidity and FX risk management ...

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Showing results 1-20

Temporary Treasury Risk Management information

See Somerville, NJ salary details

$51.2K

$103K

$152.1K

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

As of Aug 25, 2026, the average yearly pay for temporary treasury risk management in Somerville, NJ is $102,963.00, according to ZipRecruiter salary data. Most workers in this role earn between $84,500.00 and $121,900.00 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.

SAP S/4 HANA Treasury Consultant

Bayforce

Parsippany Troy Hills, NJ • On-site

Other

Posted 13 days ago


Job description

Senior SAP Treasury Consultant (SAP S/4HANA Treasury & Risk Management)

Parsippany, NJ (Onsite Monday-Thursday)

Duration | August 2026 – June 2027

Rate (W2)

We''re supporting an urgent search for a Senior SAP S/4HANA Treasury Consultant to lead the design, configuration, and implementation of SAP Treasury & Risk Management (TRM) solutions for a large enterprise SAP transformation.

This is a highly visible functional consulting role requiring someone who can confidently partner with Treasury leadership and senior business stakeholders.

Location:

  • Onsite in Parsippany, NJ Monday-Thursday
  • Candidates may reside anywhere in the U.S.
  • Travel expenses will be covered for qualified non-local consultants
  • Fridays are remote

Responsibilities:

  • Lead SAP S/4HANA Treasury & Risk Management (TRM) solution design and configuration
  • Facilitate workshops with Treasury and Finance leadership
  • Gather business requirements and translate them into SAP solutions
  • Configure Cash & Liquidity Management
  • Implement SAP Multi Bank Connectivity (MBC)
  • Configure Bank Communication Management (BCM)
  • Configure Bank Account Management (BAM)
  • Support bank statement processing, reconciliation, and intraday polling
  • Configure liquidity forecasting and cash position reporting
  • Implement Treasury payment processing and cash concentration
  • Configure Advanced Payment Management (APM)
  • Implement SAP In House Banking (IHB)
  • Configure POBO, ROBO, cash pooling, and intercompany settlements
  • Support Debts, Investments & Capital Markets functionality
  • Partner directly with executive business stakeholders

Required Experience:

  • 15+ years of SAP functional consulting experience
  • Extensive SAP S/4HANA Treasury & Risk Management (TRM) experience
  • Cash & Liquidity Management
  • SAP Multi Bank Connectivity (MBC)
  • Bank Communication Management (BCM)
  • Bank Account Management (BAM)
  • Advanced Payment Management (APM)
  • SAP In House Banking (IHB)
  • Treasury payment processing
  • Liquidity forecasting
  • Treasury reporting
  • Debts, Investments & Capital Markets
  • FX Forwards
  • Interest Rate Swaps
  • Cross Currency Swaps
  • Letters of Credit
  • Revolving Credit Facilities
  • Intercompany Loans
  • Preferred Stock
  • Excellent executive communication skills

Additional Requirements:

  • Must be available to work onsite in Parsippany, NJ Monday-Thursday
  • Travel expenses are provided for non-local consultants
  • Must be authorized to work in the U.S. without sponsorship now or in the future
  • No OPT, CPT, H-1B, or future sponsorship requirements
  • Senior-level consultants only (15+ years)