Corporate Treasury Manager
Full-time
Texas Capital Bank - Richardson
:
Texas Capital is built to help businesses and their leaders. Our depth of knowledge and expertise allows us to bring the best of the big firms at a scale that works for our clients, with highly experienced bankers who truly invest in people's success today and tomorrow. While we are rooted in core financial products, we are differentiated by our approach. Our bankers are seasoned financial experts who possess deep experience across a multitude of industries. Equally important, they bring commitment investing the time and resources to understand our clients' immediate needs, identify market opportunities and meet long-term objectives. At Texas Capital, we do more than build business success. We build long-lasting relationships. Texas Capital provides a variety of benefits to colleagues, including health insurance coverage, wellness program, fertility and family building aids, life and disability insurance, retirement savings plans with a generous 401K match, paid leave programs, paid holidays, and paid time off (PTO). Headquartered in Dallas with offices in Austin, Fort Worth, Houston, Richardson, Plano and San Antonio, Texas Capital was recently named Best Regional Bank in 2024 by Bankrate and was named to The Dallas Morning News ' Dallas-Fort Worth metroplex Top Workplaces 2025 and GoBankingRate's 2025 list of Best Regional Banks. For more information about joining our team, please visit us at . General Summary: As part of Corporate Treasury team, the Liquidity and Funding Manager will focus on strategy development, execution, and management of the Bank's liquidity profile. This candidate will contribute meaningfully to the Bank's balance sheet management process. In this high-profile role, the candidate will serve as a source of actionable, forward-thinking analytics that drive the development of successful strategies to improve the Bank's capabilities to manage liquidity which drives consistent earnings, market value, and return profiles. Responsibilities: - Manage Bank's liquidity position subject to policy compliance.
- Take a leadership role in communicating all factors related to liquidity risk management.
- Foster a culture of trust, collaboration, accountability with excellence.
- Build and maintain strong relationships with the Bank's leadership, management, and key stakeholders.
Qualifications: - Highly motivated professional focused on monetizing value, flexible in considering new information, and demonstrated ability to adapt and evolve to changing market conditions at a relatively large and complex banking or financial institution.
- 5 - 10+ years of continued progression in areas of liquidity management, investment portfolio management, balance sheet management, capital planning, fund management, or capital markets.
- Adept with technology.
- Knowledge of sound governance and accounting practices in capital markets.
- Strong communication and interpersonal skills with ability to communicate complex concepts to a wide audience with clarity.
- Excels in a team environment.
- Bachelor's degree, advanced degree or equivalent.
The duties listed above are the essential functions, or fundamental duties within the job classification. The essential functions of individual positions within the classification may differ. Texas Capital Bank may assign reasonably related additional duties to individual employees consistent with standard departmental policy.Texas Capital is an Equal Opportunity Employer.
Vacancy posted 1 day ago
Similar jobs that could be interesting for youBased on the Corporate Treasury Manager in Houston, TX vacancy
- I. Job SummaryA Treasury Analyst II plays a key role in analyzing financial assurance activities... ...to team members. May include helping to manage contractor and or other treasury staff... ...between business unit management, corporate management and external surety brokers and...SuggestedTemporary workFor contractorsWork at officeLocal area
- Hybrid Remote • Houston, TX • Treasury Job TypeFull-timeDescriptionFervo is working... ...Joining Fervo’s Treasury team means helping manage the company’s cash position with... ...This role provides hands-on exposure to corporate treasury operations within a rapidly scaling...SuggestedTemporary workWork at officeRemote work
- ...responsible for supporting the Company's global foreign exchange risk management program, executing and administering hedging strategies, monitoring currency exposures, and ensuring compliance with treasury policies and accounting requirements. The role partners closely...Suggested
- ...Description The analyst supports the CSG Credit Products team and ongoing portfolio management and underwriting activities. In this entry level role, the analyst will develop skills in credit and market analysis including cash flow analysis and modeling, capitalization...SuggestedFull timeH1bWork at officeRemote workWork from homeFlexible hours
- ...Treasury AnalystLocation: Houston, TXDuration: Long Term ContractSummary: We are looking for a skilled Treasury Analyst with over 4 years... ...team in Houston. This long-term contract role is vital for managing and optimizing cash flow, liquidity, and financial forecasting....SuggestedLong term contract
- ...fastest-growing companies 10 years in a row). Title Senior Treasury Analyst What are we looking for? We are looking for... ...candidate is professional and self-motivated, with the discipline to manage high-volume payment operations accurately and the analytical...Weekly payTemporary workRelocation
- ...an alternative application process. Corporate Treasurer Houston, TX, US 3 days ago... ...The Treasurer will oversee the Company’s treasury strategy, liquidity, capital structure,... ...banking relationships, and financial risk management to ensure the financial flexibility and...
$120k
...INSPYR Solutions is seeking a Senior Treasury & Corporate Finance Analyst to join a dynamic finance team. This role is critical in managing the company’s liquidity, banking relationships, debt compliance, and financial risk, while also supporting strategic corporate finance...Temporary work- ...TREASURY ANALYST JOB DESCRIPTION Supports daily treasury operations including cash management, bank reconciliations, cash flow forecasting, and financial reporting. This position plays a key role in maintaining liquidity visibility, processing payments, and ensuring the...Work at office
- ...seeking a detail-oriented and motivated Treasury Operations Associate to support daily treasury activities across SunStrong Management LLC, its affiliates, and supported organizations... ...the opening, closing, and maintenance of corporate bank accounts and banking services....Full time
- ...Job Description Job Description Treasury Analyst Department: Planning & Budget Reports to: Director, Planning & Budget... ...Summary: Supports the University’s liquidity, financial risk management, and funding needs by monitoring cash flow, optimizing investment...Temporary workBank staff
$65k - $70k
...Job Description Job Description Job Title: Treasury Analyst Location: Houston, TX Compensation: $65,000 to $70,000 annually... ...Treasury Analyst to support treasury operations, cash management, financial planning, forecasting, and reporting activities. This...Temporary workWork at office- ...exclusive features. We’re seeking a Sr. Analyst - Treasury on behalf of one of our clients. In this role, you’ll manage global bank account administration, cash... ...four years of finance-related experience within a corporate treasury function. Advanced Microsoft Excel skills...16 hoursFull time
- Overview The Treasury Analyst is responsible for supporting the Company?s daily treasury operations, including cash management, liquidity planning, financial reporting, and banking activities... ...operations, cash management, or corporate finance Strong understanding of:...Temporary work
- Support mid‑back office Treasury operations by executing settlements, confirmations, and bank administration activities while ensuring... ...Perform electronic trade confirmations with counterparty banks Manage settlement reporting, mark‑to‑market data, and hedge documentation...
- Burnett Specialists Staffing | Recruiting is seeking a Treasury Analyst to support daily treasury operations, including cash management and financial reporting. The analyst will partner closely with finance, accounting, and banking partners to ensure effective cash operations...
- ...more exclusive features. Are you a polished, detail-oriented treasury professional looking for your next step with a company that values... ..., high-performing culture is seeking a Treasury & Fund Management Analyst to join their finance team. This role plays a critical...Full timeWork at office
- ...Treasury Accountant AnalystThe Treasury Accountant/Analyst plays a vital role in ensuring the financial stability and operational integrity... ...supporting the company’s core payroll delivery and financial management objectives.Key Responsibilities:Cash Forecasting:Develop and...Temporary workWork at officeLocal area
$120k
A financial services company in Houston is seeking a Senior Treasury & Corporate Finance Analyst. The position is crucial for managing liquidity, banking relationships, and compliance while also enhancing corporate finance strategies. The ideal candidate should possess...- ...future. For more information, please visit fluenceenergy.com.Job Description:This position reports to the Director, Portfolio Finance Management and is responsible for managing and tracking all commercial aspects of a portfolio of large projects. This includes driving...Full timeContract workFor contractorsFor subcontractorVisa sponsorshipWork visa
$40 per hour
The Treasury Analyst, Cash Management provides analytical and operational support to Treasury Operations. This role is responsible for managing daily... ...and treasury operations. ~2-5 years of treasury or corporate finance experience. ~ Experience with merchant card...Hourly payPermanent employmentTemporary workWork experience placementShift work1 day per week$120k - $180k
...to reach further.OverviewThe Tax Investment Manager is responsible for leading the underwriting... ...with internal tax, legal, accounting, treasury, and risk management teams to structure investments that align with corporate tax planning objectives and risk parameters...Full time$70k - $161k
DescriptionThis position is available to be filled at any Huntington Bank Corporate office location.Summary:The Senior Commercial Portfolio Manager - Equipment Finance analyzes and monitors credit worthiness of assigned customers/accounts and recommends and/or approves...Full timeWork at officeRemote workWork from homeFlexible hours$123k - $154k
...shaping the future of logistics but building what comes next.Job Title:Investment ManagerCompany:PrologisA day in the lifeThe Investment manager will play a key role on the Capital Deployment team, supporting acquisitions, redevelopment, and development activities in the...Full timeFor contractorsWork at office$100.4k - $197.9k
...experienced, passionate pioneer in technology who wants to work in a collaborative environment? As an experienced Fund Reporting and Treasury Manager, you will have the ability to share new ideas and collaborate on projects as a consultant without the extensive demands of...- OverviewJoin Colliers Engineering & Design as a Grant Manager in our Municipal group and play a key role in helping Texas communities secure funding for impactful infrastructure and public improvement projects. In this dynamic position, you’ll collaborate with municipal...Temporary workFor contractorsWork at officeLocal area
- ...major financing milestones as a public company, the ability to manage investor relationships, deliver high-quality disclosure, and shape... ...Investor Relations Manager will report to the Senior Director, Corporate Development & Investor Relations and work closely with cross-...Remote workShift work
- ...Group 1. More opportunity. More support. More ways to build a career that moves you forward. Overview The Virtual Finance Manager is responsible for driving revenue growth through the sale of Finance & Insurance (F&I) products while delivering an exceptional virtual...Full timeContract workLocal areaRemote workFlexible hoursAfternoon shift
$160k - $210k
...its professionals, allowing them to focus on what’s important to them outside the office.The Transaction Advisory Services Senior Manager is responsible for managing financial, accounting and operational due diligence engagements. Job Duties:Plans and oversees the due...Work at officeImmediate start- ...Planning (ERP) Finance applications - and you know how to bridge business process best practice with Oracle Cloud configuration. At the Manager level, you bring both the technical depth to lead workstreams and the leadership presence to guide teams, manage stakeholders, and...Full timeWork experience placementLive inWork at officeLocal area
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Corporate Treasury Manager. Be the first to apply!


