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						<title>ALUMNI CAREER CENTER Search Results (&#39;employer:&quot;Robert Half&quot;&#39; Jobs)</title>
						<link>https://alumnijobs.cofc.edu</link>
						<description>Latest ALUMNI CAREER CENTER Jobs</description>
						<pubDate>Mon, 08 Jun 2026 05:22:27 Z</pubDate>
						
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									<link>https://alumnijobs.cofc.edu/jobs/rss/22284462/treasury-analyst-sr-treasury-analyst</link>
								
								<title>Treasury Analyst/Sr Treasury Analyst | Robert Half</title>								
								<guid isPermaLink="true">https://alumnijobs.cofc.edu/jobs/rss/22284462/treasury-analyst-sr-treasury-analyst</guid>
								<description>Dallas, Texas,  We are looking for a Treasury Analyst/Senior Treasury Analyst to support treasury operations and strategic initiatives for a real estate and property organization in Dallas, Texas. This role blends hands-on cash management responsibilities with project work focused on treasury technology, banking relationships, reporting, and process improvement. The ideal candidate brings strong analytical skills, sound knowledge of banking operations, and the ability to communicate effectively with finance, technology, and senior leadership teams. 
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 Responsibilities: 
 &#8226; Lead day-to-day support for the Kyriba treasury platform, including implementation activities, testing, reference data upkeep, and training for new users. 
 &#8226; Evaluate bank fee structures and service usage to uncover inefficiencies, eliminate unnecessary services, and recommend cost reduction opportunities. 
 &#8226; Collaborate with technology and cross-functional project teams to deliver treasury-related system enhancements, including fraud prevention tools and bank account request solutions. 
 &#8226; Contribute to cash forecasting efforts by analyzing data, preparing reports, and presenting insights to stakeholders. 
 &#8226; Build and maintain clear procedural documentation for core treasury activities to strengthen consistency and controls. 
 &#8226; Prepare clear presentation materials and communicate treasury updates and recommendations to senior management. 
 &#8226; Participate in internal meetings and regular discussions with banking partners to resolve operational matters and assess new solutions. 
 &#8226; Manage bank account administration activities such as account openings and closures, signer updates, fraud service setup, and maintenance of account records. 
 &#8226; Review daily payment activity and exception items across treasury systems and bank platforms to confirm policy compliance and ensure timely resolution. 
 &#8226; Produce daily cash position reporting for corporate and portfolio accounts while assisting finance teams with transaction research and banking inquiries. &#8226; Bachelor&#8217;s degree required. &#8226; At least 3 years of experience in treasury, cash management, or a closely related finance function, ideally within financial services. &#8226; Hands-on experience with Kyriba or a similar treasury workstation, along with familiarity with bank portals and user administration. &#8226; Strong Excel capabilities and proficiency with Microsoft PowerPoint, Word, and SharePoint for analysis, reporting, and documentation. &#8226; Working knowledge of U.S. payment methods and banking processes, including wires, checks, account controls, and fraud protection services. &#8226; Understanding of bank account opening requirements for complex legal entities, including Know Your Customer documentation standards. &#8226; Effective written and verbal communication skills with the ability to document processes, train users, and work across multiple stakeholder groups. &#8226; Experience in commercial real estate, short-term markets, AI-enabled tools, or pursuit of a treasury certification is preferred. 
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 &#xa9; 2025 Robert Half. An Equal Opportunity Employer. M/F/Disability/Veterans.&#xa0;</description>
								<pubDate>Mon, 18 May 2026 08:19:22 -0400</pubDate>
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									<link>https://alumnijobs.cofc.edu/jobs/rss/22284460/treasury-analyst-assistant-treasurer</link>
								
								<title>Treasury Analyst/Assistant Treasurer | Robert Half</title>								
								<guid isPermaLink="true">https://alumnijobs.cofc.edu/jobs/rss/22284460/treasury-analyst-assistant-treasurer</guid>
								<description>King of Prussia, Pennsylvania,  This job&#39;s time zone is Eastern. 
 
 We are looking for a detail-oriented treasury specialist to join a manufacturing organization in the King of Prussia, Pennsylvania area and contribute to core cash and liquidity activities across a global business. This position plays an important role in supporting banking operations, foreign exchange coordination, forecasting, and financial risk awareness while partnering closely with accounting, procurement, and finance teams. The ideal candidate brings strong analytical judgment, a solid understanding of treasury fundamentals, and the ability to improve processes in a fast-moving environment. 
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 Responsibilities: 
 &#8226; Oversee daily cash visibility across domestic and international accounts, ensuring funds are available to meet operational requirements. 
 &#8226; Develop and refine near-term and longer-range cash forecasts, then investigate differences between projected and actual cash activity. 
 &#8226; Coordinate foreign exchange support by tracking currency exposures, assisting with hedge-related activity, and facilitating intercompany settlements with banking partners. 
 &#8226; Maintain treasury banking administration, including account documentation, relationship support, and review of service-related activity. 
 &#8226; Contribute to debt tracking, letters of credit administration, bank fee evaluation, and adherence to treasury governance requirements. 
 &#8226; Work with accounting during monthly close to reconcile and report cash, borrowing, investment, and hedging-related transactions. 
 &#8226; Identify opportunities to strengthen treasury controls, streamline workflows, and enhance treasury management system usage and automation. 
 &#8226; Support working capital analysis by partnering with internal teams on cash impacts tied to receivables, payables, and inventory funding. 
 &#8226; Prepare reporting materials, dashboards, and presentations that provide finance leadership with clear insight into liquidity and treasury performance. 
 &#8226; Monitor financial risk considerations related to currency movements, interest rate exposure, and counterparty activity while helping ensure compliance with internal policies and banking regulations. 
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 &#xa9; 2025 Robert Half. An Equal Opportunity Employer. M/F/Disability/Veterans.&#xa0; 
 &#8226; Bachelor&#8217;s degree in Finance, Accounting, Economics, or a related discipline. &#8226; At least 3 years of experience in treasury, cash management, corporate finance, or a closely related area. &#8226; Hands-on knowledge of cash forecasting, banking operations, and foreign exchange processes. &#8226; Understanding of liquidity planning, treasury controls, and key financial risk management concepts. &#8226; Advanced Excel skills and experience working with ERP platforms and treasury management systems. &#8226; Ability to collaborate effectively across departments in a deadline-driven business environment. &#8226; Strong analytical, organizational, and problem-solving capabilities with close attention to detail. &#8226; Experience in a global organization, manufacturing setting, or multi-currency environment is preferred; treasury certification or progress toward certification is a plus.</description>
								<pubDate>Mon, 18 May 2026 08:09:34 -0400</pubDate>
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									<link>https://alumnijobs.cofc.edu/jobs/rss/22284457/director-of-treasury</link>
								
								<title>Director of Treasury | Robert Half</title>								
								<guid isPermaLink="true">https://alumnijobs.cofc.edu/jobs/rss/22284457/director-of-treasury</guid>
								<description>Fort Worth, Texas,  This job&#39;s time zone is Central. 
 
 Robert Half Finance &#38; Accounting and Kevin Sweet have partnered with a rapidly growing financial services / retail organization to identify a&#xa0;Director of Treasury&#xa0;for a newly created, high-impact leadership role. 
 This is a strategic opportunity for an accomplished treasury leader to build and lead a best-in-class treasury function while helping shape the organization&#8217;s capital strategy, liquidity management, and financial risk framework. Reporting to executive leadership, this role will have significant visibility and influence across the organization. 
 My client offers a collaborative environment, is rapidly growing through both organic growth and acquisitions, offers excellent benefits, competitive annual salary, bonus and potential future equity! 
 ? Key Responsibilities: 
 ? Lead treasury strategy, liquidity planning, and capital structure initiatives 
 ? Oversee cash management, cash flow forecasting, and working capital optimization 
 ? Manage banking relationships and support capital markets activities, including asset-backed securitization programs 
 ? Lead financial risk management initiatives, including interest rate exposure oversight 
 ? Strengthen treasury operations, controls, SOX compliance, and payment security 
 ? Drive treasury systems enhancements, automation, and process improvements 
 ? Partner cross-functionally with FP&#38;A, Accounting, Tax, Legal, and executive leadership 
 ? Build, mentor, and lead a high-performing treasury team 
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 ? Ideal Background: 
 ? 10+ years of progressive treasury or corporate finance experience 
 ? Leadership experience within complex, high-growth environments 
 ? Deep expertise in cash management, liquidity planning, capital markets, &#38; treasury operations 
 ? Experience supporting securitization structures and banking relationships 
 ? Treasury systems, financial modeling, and automation experience preferred 
 ? MBA and CFA, and or CTP is required 
 ? Private equity-backed or financial services experience is a plus 
 This is an outstanding opportunity for a strategic yet hands-on treasury leader to step into a newly created role and help drive financial resilience, operational excellence, and long-term growth. 
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 ? Ideal Background: 
 ? 10+ years of progressive treasury or corporate finance experience 
 ? Leadership experience within complex, high-growth environments 
 ? Deep expertise in cash management, liquidity planning, capital markets, &#38; treasury operations 
 ? Experience supporting securitization structures and banking relationships 
 ? Treasury systems, financial modeling, and automation experience preferred 
 ? MBA and CFA, and or CTP is required 
 ? Private equity-backed or financial services experience is a plus</description>
								<pubDate>Mon, 18 May 2026 08:00:27 -0400</pubDate>
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