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Treasury Risk Finance Jobs in Alabama (NOW HIRING)

Exposure to foreign exchange or financial risk management. Experience with data analytics tools. Interest in treasury technology and process automation. Professional certifications (CTP, CFA, CPA ...

Preferred Skills • Knowledge of treasury operations and banking products. • Exposure to foreign exchange or financial risk management. • Experience with data analytics tools. • Interest in ...

The Portfolio Controller & Treasury Manager will report directly to the Portfolio Finance Manager ... Maintain and enforce the portfolio's internal controls framework and Risk Control Matrix ...

The Treasury Management Advisor is responsible for providing expert guidance and strategic support to clients in the areas of cash management, liquidity solutions, and financial risk mitigation. This ...

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Partner with Treasury, Finance, Risk, and business leaders to align on assumptions and improve forecast accuracy. Serve as a strategic advisor to Commercial, CRB, and deposit product/pricing partners ...

... Treasury Management and Merchant Services to deliver actionable insights and executive-level ... Managing Risk - Assessing and effectively managing all of the risks associated with their business ...

Oversee accounting, budgeting, forecasting, treasury, cash management, payroll, investments, debt ... Operations & Risk * Oversee procurement, contracting, property, and enterprise risk management ...

Meet all designated Pinnacle standards for appropriate risk rating; credit soundness thresholds ... Minimum Education: College degree is preferred -- finance or business-related field. Minimum ...

... Finance, Accounting, Budgeting, Treasury, Property, Procurement, Payroll, Enterprise Risk Management, and related administrative functions. Essential Functions * Serve as the principal financial ...

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Treasury Risk Finance information

What is the difference between Treasury Risk Finance vs Treasury Analyst?

AspectTreasury Risk FinanceTreasury Analyst
Primary FocusManaging financial risks, including currency, interest rate, and liquidity risksSupporting daily treasury operations, cash management, and reporting
Required SkillsRisk assessment, financial modeling, risk mitigation strategiesCash flow analysis, banking relationships, reporting
CertificationsFRM, CFA often preferredNone specific, but CFA or CPA can be advantageous
Work EnvironmentCorporate treasury departments, financial institutionsCorporate finance teams, banking environments

While Treasury Risk Finance focuses on identifying and mitigating financial risks, Treasury Analysts handle daily cash management and reporting tasks. Both roles require financial knowledge, but Risk Finance emphasizes risk assessment and strategic mitigation, often involving specialized certifications like FRM or CFA.

What are popular job titles related to Treasury Risk Finance jobs in Alabama?

For Treasury Risk Finance jobs in Alabama, the most frequently searched job titles are:

What job categories do people searching Treasury Risk Finance jobs in Alabama look for?

The top searched job categories for Treasury Risk Finance jobs in Alabama are:

What cities in Alabama are hiring for Treasury Risk Finance jobs?

Cities in Alabama with the most Treasury Risk Finance job openings:

Infographic showing various Treasury Risk Finance job openings in Alabama as of June 2026, with employment types broken down into 8% As Needed, 55% Full Time, 10% Part Time, 8% Temporary, 17% Contract, and 2% Nights. Highlights an 89% Physical, 5% Hybrid, and 6% Remote job distribution.

Treasury Analyst

Huntsville, AL

Adtran
Telecommunications • 1 - 5K employees

Full-time

Posted 18 days ago


Job description

Welcome!

Our Growth is Creating Great Opportunities!
Our team is expanding, and we want to hire the most talented people we can. Continued success depends on it! Once you've had a chance to explore our current open positions, apply to the ones you feel suit you best and keep track of both your progress in the selection process, and new postings that might interest you!
Thanks for your interest in working on our team!

Role Overview

The Treasury Analyst will support the execution of Adtran's global treasury strategy, liquidity management, banking initiatives, foreign exchange risk management, treasury technology projects, and capital structure activities. This role offers broad exposure to corporate treasury operations, banking relationships, debt compliance, cash forecasting, and strategic treasury transformation initiatives.

The ideal candidate is analytical, detail-oriented, technology-focused, and interested in developing a career in corporate treasury within a global public company environment.

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Key Responsibilities

Liquidity Management & Cash Forecasting

Support daily and weekly global cash position reporting.

Assist in preparing short-term and long-term cash forecasts.

Analyze cash flow trends and identify liquidity risks and opportunities.

Support liquidity planning under revolving credit facilities and cash pooling structures.

Assist with intercompany funding and global cash movement activities.

Treasury Transformation & Systems

Support implementation and optimization of Treasury Management Systems (Kyriba, SAP Treasury, related applications).

Participate in bank account rationalization and global banking structure projects.

Assist with treasury automation initiatives and reporting enhancements.

Help maintain treasury data integrity across banking and ERP platforms.

Foreign Exchange & Risk Management

Assist in monitoring global foreign exchange exposures.

Support hedge execution and tracking activities.

Prepare FX exposure and hedge effectiveness reporting.

Coordinate with business units to improve FX forecasting and risk identification.

Banking & Capital Structure

Support management of global banking relationships.

Coordinate banking documentation, KYC requests, and account administration.

Assist with debt compliance reporting and covenant calculations.

Support refinancing, capital markets, and financing activities as required.

Prepare materials for lender meetings and bank relationship reviews.

Letter of Credit and Bank Guarantee Management

Treasury Analytics & Reporting

Develop treasury dashboards and KPI reporting.

Perform analysis of liquidity, working capital, and financing costs.

Assist in preparation of Board, Audit Committee, and executive treasury presentations.

Prepare ad hoc financial analyses supporting strategic initiatives.

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Key Stakeholders

Internal

Treasury

Accounting

FP&A

Investor Relations

Tax

Legal

Procurement

Regional Finance Teams

External

Banking Partners

Treasury Technology Vendors

Auditors

Credit Rating Agencies (as applicable)

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Qualifications

Bachelor's degree in Finance, Accounting, Economics, Business, or related field.

1-3 years of treasury, finance, accounting, banking, or FP&A experience preferred.

Strong Excel and financial modeling skills.

Experience with SAP, Kyriba, Power BI, or similar systems preferred.

Understanding of cash forecasting and financial statements.

Strong analytical and communication skills.

Ability to manage multiple priorities in a fast-paced environment.

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Preferred Skills

Knowledge of treasury operations and banking products.

Exposure to foreign exchange or financial risk management.

Experience with data analytics tools.

Interest in treasury technology and process automation.

Professional certifications (CTP, CFA, CPA track) a plus.

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Success Measures

Accurate and timely cash forecasting.

Effective support of treasury transformation initiatives.

Strong banking relationship management support.

Quality treasury reporting and analytics.

Continuous process improvement contributions.