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Treasury Analyst (Contract) - Careers at Robert Half

Robert Half

Treasury Analyst (Contract) - Careers at Robert Half

contractPosted: Feb 4, 2026

Job Description

Treasury Analyst (Remote Contract) - Join Robert Half in Dallas, Texas

Robert Half is proud to partner with top organizations to place exceptional Treasury Analysts in dynamic contract roles. This 3-month remote contract position offers a competitive $45/hour rate and the flexibility to work from anywhere while contributing to innovative treasury operations for a leading company in Dallas, Texas. If you have expertise in cash management, forecasting, and process optimization, this is your chance to make an immediate impact.

As a premier staffing firm, Robert Half connects finance professionals with rewarding opportunities that advance careers. Our Treasury Analysts thrive in roles that demand precision, strategic thinking, and collaboration. This position is ideal for proactive individuals passionate about enhancing treasury efficiency in a fast-paced environment.

About the Role

The Treasury Analyst role is central to maintaining robust financial health through meticulous cash position monitoring and strategic forecasting. Reporting to treasury leadership, you'll handle multi-entity cash operations, ensuring seamless transactions and compliance. This remote contract demands a blend of technical prowess and interpersonal skills to drive treasury excellence. With Robert Half's support, you'll gain exposure to cutting-edge financial systems and high-profile projects, perfect for building your resume in the competitive Dallas job market.

Key highlights include full remote work, short-term commitment with extension potential, and collaboration across Accounting, Operations, and executive teams. Stand out by bringing innovative ideas to automate processes and streamline workflows, positioning yourself as a treasury innovator.

Key Responsibilities

Your day-to-day will focus on high-impact treasury functions:

  • Monitor daily cash positions across multiple entities, producing actionable reports for leadership decision-making.
  • Partner with internal teams like Accounting and Operations for precise, timely cash flow reporting.
  • Oversee bank account administration, from signatory updates to monthly reconciliations.
  • Execute wire transfers, EFTs, and other transactions with accuracy and speed.
  • Design and optimize treasury workflows to boost efficiency and reduce errors.
  • Conduct short- and long-term cash forecasting to support organizational financial strategies.
  • Maintain strict adherence to internal controls, SOX compliance, and banking regulations.
  • Lead treasury projects, including automation via tools like ERP systems and banking platforms.
  • Champion continuous improvement with innovative solutions for treasury operations.
  • Foster stakeholder relationships to align treasury activities with business objectives.

These responsibilities ensure you're at the forefront of treasury management, leveraging data-driven insights for real results.

Required Qualifications

To excel, candidates should possess:

  • Bachelor's degree in Finance, Accounting, Business, or equivalent.
  • 2-5 years in treasury, cash management, or FP&A roles.
  • Advanced Excel skills; experience with Treasury Management Systems (TMS) like Kyriba, FIS, or GTreasury.
  • Deep knowledge of banking operations, ACH, wires, and reconciliations.
  • Strong analytical mindset for forecasting and variance analysis.
  • Proven ability to improve processes and implement automation.
  • Excellent communication skills for cross-functional collaboration.
  • Familiarity with GAAP, SOX, and financial regulations.
  • Self-starter comfortable in remote settings with virtual tools like Zoom and Microsoft Teams.

Robert Half prioritizes diverse, high-performing talent. Certifications like CTP or experience in multi-entity environments are highly valued.

Why Join Us at Robert Half?

Partnering with Robert Half means more than a contract—it's a gateway to unparalleled opportunities. Enjoy $45/hour pay, weekly direct deposit, and full remote flexibility from Dallas, TX or beyond. Our 3-month term offers stability with extension potential, plus access to our vast network for future roles.

Benefits extend to professional growth: mentorship from industry experts, skill-building resources, and exposure to Fortune 500 clients. Robert Half's reputation opens doors in the thriving Dallas finance scene, where treasury roles command premium rates. Join a community of 300,000+ professionals who've advanced their careers through us.

SEO-optimized for Treasury Analyst jobs Dallas TX, remote treasury contract, and cash management careers. Apply now to elevate your treasury expertise with Robert Half—where talent meets opportunity.

Locations

  • Dallas, Texas, United States

Salary

Estimated Salary Rangehigh confidence

85,000 - 105,000 USD / yearly

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Cash flow managementintermediate
  • Treasury reportingintermediate
  • Bank account administrationintermediate
  • Wire transfers and EFT processingintermediate
  • Cash forecastingintermediate
  • Treasury workflow optimizationintermediate
  • Regulatory complianceintermediate
  • Financial systems expertiseintermediate
  • Stakeholder collaborationintermediate
  • Process automationintermediate

Required Qualifications

  • Bachelor's degree in Finance, Accounting, or related field (experience)
  • 2+ years of treasury or cash management experience (experience)
  • Proficiency in treasury management systems (e.g., Kyriba, Treasury Workstation) (experience)
  • Strong analytical and problem-solving skills (experience)
  • Excellent communication and collaboration abilities (experience)
  • Knowledge of banking platforms and financial regulations (experience)
  • Experience with cash forecasting and reconciliations (experience)
  • Proven track record in process improvement and automation (experience)

Responsibilities

  • Monitor daily cash positions across multiple entities and generate detailed reports for leadership
  • Collaborate with Accounting and Operations teams for accurate cash flow reporting
  • Manage bank account administration, including signatory updates and reconciliations
  • Process wire transfers, electronic funds transfers, and other treasury transactions
  • Develop and refine treasury workflows to enhance operational efficiency
  • Perform short-term and long-term cash forecasting aligned with financial goals
  • Ensure compliance with internal controls, regulatory requirements, and industry standards
  • Support treasury projects and automation initiatives using financial systems
  • Introduce innovative solutions for treasury operations and continuous improvement
  • Build relationships with stakeholders to deliver aligned treasury solutions

Benefits

  • general: Competitive hourly rate of $45/hour
  • general: 100% remote work flexibility
  • general: 3-month contract with potential for extension
  • general: Opportunity to work with a leading financial staffing firm
  • general: Professional development through Robert Half's network
  • general: Weekly pay and direct deposit
  • general: Access to top-tier clients and career advancement opportunities
  • general: Supportive team environment with expert mentorship

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Tags & Categories

Robert Half CareersJobs in Dallas, TXRemote Treasury JobsFinance Contract PositionsTreasury Analyst DallasFinanceAccountingAdmin

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Robert Half logo

Treasury Analyst (Contract) - Careers at Robert Half

Robert Half

Treasury Analyst (Contract) - Careers at Robert Half

contractPosted: Feb 4, 2026

Job Description

Treasury Analyst (Remote Contract) - Join Robert Half in Dallas, Texas

Robert Half is proud to partner with top organizations to place exceptional Treasury Analysts in dynamic contract roles. This 3-month remote contract position offers a competitive $45/hour rate and the flexibility to work from anywhere while contributing to innovative treasury operations for a leading company in Dallas, Texas. If you have expertise in cash management, forecasting, and process optimization, this is your chance to make an immediate impact.

As a premier staffing firm, Robert Half connects finance professionals with rewarding opportunities that advance careers. Our Treasury Analysts thrive in roles that demand precision, strategic thinking, and collaboration. This position is ideal for proactive individuals passionate about enhancing treasury efficiency in a fast-paced environment.

About the Role

The Treasury Analyst role is central to maintaining robust financial health through meticulous cash position monitoring and strategic forecasting. Reporting to treasury leadership, you'll handle multi-entity cash operations, ensuring seamless transactions and compliance. This remote contract demands a blend of technical prowess and interpersonal skills to drive treasury excellence. With Robert Half's support, you'll gain exposure to cutting-edge financial systems and high-profile projects, perfect for building your resume in the competitive Dallas job market.

Key highlights include full remote work, short-term commitment with extension potential, and collaboration across Accounting, Operations, and executive teams. Stand out by bringing innovative ideas to automate processes and streamline workflows, positioning yourself as a treasury innovator.

Key Responsibilities

Your day-to-day will focus on high-impact treasury functions:

  • Monitor daily cash positions across multiple entities, producing actionable reports for leadership decision-making.
  • Partner with internal teams like Accounting and Operations for precise, timely cash flow reporting.
  • Oversee bank account administration, from signatory updates to monthly reconciliations.
  • Execute wire transfers, EFTs, and other transactions with accuracy and speed.
  • Design and optimize treasury workflows to boost efficiency and reduce errors.
  • Conduct short- and long-term cash forecasting to support organizational financial strategies.
  • Maintain strict adherence to internal controls, SOX compliance, and banking regulations.
  • Lead treasury projects, including automation via tools like ERP systems and banking platforms.
  • Champion continuous improvement with innovative solutions for treasury operations.
  • Foster stakeholder relationships to align treasury activities with business objectives.

These responsibilities ensure you're at the forefront of treasury management, leveraging data-driven insights for real results.

Required Qualifications

To excel, candidates should possess:

  • Bachelor's degree in Finance, Accounting, Business, or equivalent.
  • 2-5 years in treasury, cash management, or FP&A roles.
  • Advanced Excel skills; experience with Treasury Management Systems (TMS) like Kyriba, FIS, or GTreasury.
  • Deep knowledge of banking operations, ACH, wires, and reconciliations.
  • Strong analytical mindset for forecasting and variance analysis.
  • Proven ability to improve processes and implement automation.
  • Excellent communication skills for cross-functional collaboration.
  • Familiarity with GAAP, SOX, and financial regulations.
  • Self-starter comfortable in remote settings with virtual tools like Zoom and Microsoft Teams.

Robert Half prioritizes diverse, high-performing talent. Certifications like CTP or experience in multi-entity environments are highly valued.

Why Join Us at Robert Half?

Partnering with Robert Half means more than a contract—it's a gateway to unparalleled opportunities. Enjoy $45/hour pay, weekly direct deposit, and full remote flexibility from Dallas, TX or beyond. Our 3-month term offers stability with extension potential, plus access to our vast network for future roles.

Benefits extend to professional growth: mentorship from industry experts, skill-building resources, and exposure to Fortune 500 clients. Robert Half's reputation opens doors in the thriving Dallas finance scene, where treasury roles command premium rates. Join a community of 300,000+ professionals who've advanced their careers through us.

SEO-optimized for Treasury Analyst jobs Dallas TX, remote treasury contract, and cash management careers. Apply now to elevate your treasury expertise with Robert Half—where talent meets opportunity.

Locations

  • Dallas, Texas, United States

Salary

Estimated Salary Rangehigh confidence

85,000 - 105,000 USD / yearly

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Cash flow managementintermediate
  • Treasury reportingintermediate
  • Bank account administrationintermediate
  • Wire transfers and EFT processingintermediate
  • Cash forecastingintermediate
  • Treasury workflow optimizationintermediate
  • Regulatory complianceintermediate
  • Financial systems expertiseintermediate
  • Stakeholder collaborationintermediate
  • Process automationintermediate

Required Qualifications

  • Bachelor's degree in Finance, Accounting, or related field (experience)
  • 2+ years of treasury or cash management experience (experience)
  • Proficiency in treasury management systems (e.g., Kyriba, Treasury Workstation) (experience)
  • Strong analytical and problem-solving skills (experience)
  • Excellent communication and collaboration abilities (experience)
  • Knowledge of banking platforms and financial regulations (experience)
  • Experience with cash forecasting and reconciliations (experience)
  • Proven track record in process improvement and automation (experience)

Responsibilities

  • Monitor daily cash positions across multiple entities and generate detailed reports for leadership
  • Collaborate with Accounting and Operations teams for accurate cash flow reporting
  • Manage bank account administration, including signatory updates and reconciliations
  • Process wire transfers, electronic funds transfers, and other treasury transactions
  • Develop and refine treasury workflows to enhance operational efficiency
  • Perform short-term and long-term cash forecasting aligned with financial goals
  • Ensure compliance with internal controls, regulatory requirements, and industry standards
  • Support treasury projects and automation initiatives using financial systems
  • Introduce innovative solutions for treasury operations and continuous improvement
  • Build relationships with stakeholders to deliver aligned treasury solutions

Benefits

  • general: Competitive hourly rate of $45/hour
  • general: 100% remote work flexibility
  • general: 3-month contract with potential for extension
  • general: Opportunity to work with a leading financial staffing firm
  • general: Professional development through Robert Half's network
  • general: Weekly pay and direct deposit
  • general: Access to top-tier clients and career advancement opportunities
  • general: Supportive team environment with expert mentorship

Target Your Resume for "Treasury Analyst (Contract) - Careers at Robert Half" , Robert Half

Get personalized recommendations to optimize your resume specifically for Treasury Analyst (Contract) - Careers at Robert Half. Takes only 15 seconds!

AI-powered keyword optimization
Skills matching & gap analysis
Experience alignment suggestions

Check Your ATS Score for "Treasury Analyst (Contract) - Careers at Robert Half" , Robert Half

Find out how well your resume matches this job's requirements. Get comprehensive analysis including ATS compatibility, keyword matching, skill gaps, and personalized recommendations.

ATS compatibility check
Keyword optimization analysis
Skill matching & gap identification
Format & readability score

Tags & Categories

Robert Half CareersJobs in Dallas, TXRemote Treasury JobsFinance Contract PositionsTreasury Analyst DallasFinanceAccountingAdmin

Answer 10 quick questions to check your fit for Treasury Analyst (Contract) - Careers at Robert Half @ Robert Half.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.