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We are looking for a Senior Treasury Analyst to join our dynamic corporate treasury team in The Woodlands, Texas. In this role, you will play a crucial part in overseeing cash management operations, maintaining banking relationships, and ensuring compliance with financial policies. The ideal candidate thrives in a fast-paced environment, exhibits excellent organizational skills, and has a strong ability to manage multiple priorities effectively.
Job Responsibility:
Oversee daily cash management operations, including cash positioning, payment processing, and resolving discrepancies with banking partners
Administer bank accounts by managing openings, closures, and updates while maintaining accurate internal records and signer information
Evaluate and analyze bank fees to identify cost-saving opportunities and recommend optimizations for account services
Manage user access and security settings for banking and expense reporting systems
Ensure compliance with all internal treasury policies and procedures, documenting processes and supporting audit requirements
Collaborate with banking partners to strengthen relationships and assess new financial products and services
Drive improvements in treasury processes, systems, and workflows to enhance operational efficiency
Support strategic initiatives related to cash flow optimization and treasury enhancements
Requirements:
Minimum of 3 years of experience in corporate treasury or related financial roles
Strong understanding of cash management principles and banking operations
Proficient in analyzing financial data and identifying cost-saving opportunities
Experience with treasury systems and security administration
Excellent communication skills for interacting with internal teams and external banking partners
Knowledge of compliance standards and internal controls related to treasury functions
Bachelor's degree in finance, accounting, or a related field is required