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We are looking for a skilled Treasury Analyst to join our team in Houston, Texas. In this role, you will manage critical aspects of cash management, liquidity planning, and financial risk assessment while building strong relationships with banking partners. This position provides a unique opportunity to work closely with senior finance leaders and gain exposure to enterprise-level treasury operations.
Job Responsibility:
Monitor daily cash balances and transactions across domestic and international accounts to ensure optimal liquidity
Develop and maintain short- and long-term cash forecasting models to support strategic planning
Serve as a liaison with banks and financial institutions to manage account maintenance, electronic payments, and reconciliations
Prepare and analyze cash position reports, liquidity dashboards, and treasury performance metrics
Track investment activities and provide analytical support for performance reporting and decision-making
Assist in managing financial risk by monitoring interest rate and currency exposures
Ensure compliance with revolving credit facilities and term loan agreements, including covenant tracking and reporting
Maintain adherence to internal controls, regulatory requirements, and debt agreements
Contribute to treasury-related projects, such as system implementations, process optimizations, and financial modeling
Collaborate with accounting and finance teams to ensure accurate reporting of cash, debt, and accounts payable activities
Requirements:
Bachelor’s degree in Finance, Accounting, Economics, or a related field
Minimum of 4 years of experience in treasury, cash management, corporate finance, or a similar area
Advanced proficiency in Microsoft Excel, including the use of complex formulas, pivot tables, and data analysis tools
Demonstrated experience with banking relationships, debt instruments, and cash management systems
Strong analytical and documentation skills with the ability to present findings clearly
Proficiency in Microsoft Office Suite and familiarity with treasury systems such as Sage Enterprise Intelligence
Excellent communication skills to effectively collaborate with internal teams and external partners
Knowledge of financial risk management principles and practices