Dynamic Houston based Treasury Manager opening!!

Specialism

Oil/Gas/Utilities, Treasury Manager

We have a leading oil & gas company committed to operational excellence, strategic growth, and financial strength. As we continue to expand, we are seeking a highly skilled Treasury Manager to oversee key treasury functions, capital markets activities, and support M&A transactions.

Role Overview:

The Treasury Manager will be responsible for managing treasury operations, liquidity planning, and financial risk management. This individual will play a critical role in capital markets activities, debt management, and M&A financing strategies, requiring deep expertise in the oil & gas sector.

Key Responsibilities:

Treasury Operations & Cash Management:
  • Oversee daily treasury operations, including cash positioning, forecasting, and reporting.
  • Manage relationships with banks and financial institutions to optimize cash flow and banking structures.
  • Implement and maintain treasury management systems and controls.
Capital Markets & Debt Management:
  • Support capital markets initiatives, including debt issuance, refinancing, and credit facility management.
  • Collaborate with finance and executive leadership on capital structure optimization.
  • Monitor financial markets to assess funding opportunities and risk exposure.
M&A & Strategic Finance:
  • Evaluate financing strategies for mergers, acquisitions, and divestitures.
  • Partner with corporate development teams to assess capital requirements for transactions.
  • Conduct financial modeling and due diligence for potential deals.
Risk Management & Compliance:
  • Manage interest rate, FX, and commodity price risk exposures.
  • Ensure compliance with treasury policies, debt covenants, and regulatory requirements.
  • Drive process improvements to enhance efficiency and mitigate financial risks.

Qualifications & Experience:

  • 8+ years of treasury experience, preferably within the oil & gas industry.
  • Strong knowledge of capital markets, debt financing, and M&A transactions.
  • Experience with treasury management systems and financial modeling.
  • Expertise in financial risk management, including interest rate and FX hedging.
  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.

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