Treasury Analyst
Houston Christian University - Archie W. Dunham College of Business
Job Opportunities for Employees with Faith Houston Christian University is committed to maintaining a teaching faculty and staff who share an active Christian faith. The Preamble to the By-Laws of the University sets forth a statement of belief that each University employee is expected to support and personify. Your submittal of an application for employment indicates your acceptance and affirmation of these statements. Please feel free to browse and use the contact information listed with each posting for any questions regarding each posting. Supports the University’s liquidity, financial risk management, and funding needs by monitoring cash flow, optimizing investment strategies, managing banking relationships, and supporting debt and other financing activities. Produces reports to aid in forecasting cash needs and assists with treasury functions to support the University’s financial health, compliance with internal policies, and overall financial operations. Works cross-functionally with the finance team to identify financial exposures, support cash management activities, and strengthen treasury processes and reporting. Job Responsibilities Monitor daily cash flow and ensure adequate liquidity to meet short-term and long-term obligations. Forecast short term and long-term cash requirements, prepare variance analyses, and provide cash position summaries for management review. Maintain relationships with banks and financial institutions to support University goals and needs. Monitor and approve payments while ensuring compliance with internal controls. Execute and monitor investment activities, ensuring alignment with university policies, risk tolerance, and applicable internal controls. Forecast endowment trends and allocation of endowment earnings. Support the implementation, management, and administration of bank accounts, credit facilities including University's credit cards, online banking platforms, authorized signatory records, and other financial instruments. Maintain bank account documentation and legal documentation related to SOX requirements, FBAR regulations, audits, and internal reviews. Assist in management of debt obligations including maintaining accurate documentation of debt instruments. Prepare treasury-related reports, and provide information on financially sensitive matters, including cash position summaries, debt compliance reports, investment performance reports, risk metrics, and other financial analyses. Provide information in connection with external and internal audits and monitor cash management activities to ensure compliance with University's policies, GAAP, SOX, and applicable regulatory requirements. Use treasury management systems, ERP platforms, online banking platforms, Banner, Husky Net, Argos, Anaplan, and other financial reporting tools to support treasury reporting, reconciliation, cash management, and related processes. Identify and implement best practices to enhance efficiency, accuracy, internal controls, and consistency in treasury operations. Collaborate with cross-functional teams to integrate new systems, improve processes, and support financial reporting needs. Perform other duties as assigned. Qualifications Bachelor’s degree in Finance, Economics, Business Administration, or a related field is required. MBA preferred. Two to five years of experience in treasury, finance, accounting, budget, or related financial operations roles is preferred. CTP, CPA, or CFA certification preferred. Knowledge of banking industry practices, bank products, foreign exchange, cash management, and treasury operations. Knowledge of regulatory compliance and internal controls related to treasury functions. Ability to quickly understand complex financial transactions and apply finance, accounting, and treasury principles and take appropriate action when needed. Advanced proficiency in Microsoft Excel with working knowledge of Microsoft Word and PowerPoint. Experience with SQL preferred. Proficiency with treasury management systems, ERP systems, online banking platforms, and other treasury-related technology preferred. Proactive, self-motivated individual with excellent analytical skills and an ability to solve problems, identify trends, and recommend actionable strategies. Ability to coordinate the implementation of solutions and identify and analyze accounting, treasury, and financial reporting issues. Ability to keep financial matters confidential with respect to students, staff, faculty, banking information, institutional records, and related financial data. Ability to meet strict deadlines with accuracy and attention to detail. Ability to work collaboratively and effectively with senior academic and administrative positions, departmental leaders, financial institutions, and internal finance teams. Effective communication, presentation, planning, priority setting, organization, interpersonal, and multitasking skills. Additional Information Houston Christian University is an independent, private Christian liberal arts institution with a diverse student body. It has access to all the cultural advantages of one of the largest metropolitan centers in the country. For more information about the University, visit hc.edu. The University has implemented its Ten Pillars vision (hc.edu/vision) and anticipates significant growth in student enrollment and university programs. The successful candidate will also be able to articulate a vision for the role of his or her discipline at HCU that is supportive of the Ten Pillars vision statement. Disclaimer Background checks are performed on every new hire. If your application is selected to continue with the interviewing process, you will be required to submit a Background Check form. If you decline, your application may be denied. By proceeding with the online application, you understand and accept this process. #J-18808-Ljbffr
- I. Job SummaryA Treasury Analyst II plays a key role in analyzing financial assurance activities, supporting strategic decision-making, and collaborating across departments to drive efficiency. This is an opportunity to work in a fast-paced environment where your insights...SuggestedTemporary workFor contractorsWork at officeLocal area
- ...risk management program, executing and administering hedging strategies, monitoring currency exposures, and ensuring compliance with treasury policies and accounting requirements. The role partners closely with business units, accounting, FP&A, tax, and regional finance...Suggested
- Hybrid Remote • Houston, TX • Treasury Job TypeFull-timeDescriptionFervo is working to build the most cost-effective, repeatable geothermal... ...a fast-growing clean energy company.We are seeking a Treasury Analyst who is excited by Fervo’s mission, motivated to build reliable...SuggestedTemporary workWork at officeRemote work
- ...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 of experience to join our finance team in Houston. This long-term contract role is vital for managing and optimizing cash flow, liquidity...SuggestedLong term contract
- ...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
$85k - $125k
...Senior Treasury AnalystWe are always seeking talented, motivated, growth-minded, and creative individuals. Our firm is committed to providing... ...submit your application to join our team!The Senior Treasury Analyst is responsible for managing the firm's treasury operations,...Temporary workWork at officeRemote workShift work- ...Work 2017, 2018, & 2022) and nationally (INC 5000 list of fastest-growing companies 10 years in a row). Title Senior Treasury Analyst What are we looking for? We are looking for passionate, detail-oriented, and resourceful individuals who want to be part...Weekly payTemporary workRelocation
- ...ACCEPTED FROM: CURRENT CONTROLLER'S OFFICE EMPLOYEES ONLY DIVISION TREASURY REPORTING LOCATION 901 BAGBY ST., 10TH FL. WORKDAYS & HOURS... ...is seeking an experienced and highly analytical Senior Treasury Analyst to support the City’s treasury, investment, banking, cash...Temporary workWork at officeMonday to Friday
- Get AI-powered advice on this job and more 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 management, month-end closing, financial reporting, and support ERP...16 hoursFull time
$65k - $70k
...Job Description Job Description Job Title: Treasury Analyst Location: Houston, TX Compensation: $65,000 to $70,000 annually Benefits: This position may be eligible for medical, dental, vision, 401(k), and life insurance. Job Summary We are seeking...Temporary workWork at office$42 per hour
...Motion Recruitment Manager, Enterprise Talent Services at Motion Recruitment Our client, a renewable energy company, is seeking a Treasury Analyst to join their team in Princeton, NJ on a hybrid basis. This is a 6-month contract position with a pay rate of up to $42/hour....Contract work- Support mid‑back office Treasury operations by executing settlements, confirmations, and bank administration activities while ensuring strong financial controls across global Treasury processes. Key Responsibilities Treasury Operations & Settlements Execute settlements...
- Overview The Treasury Analyst is responsible for supporting the Company?s daily treasury operations, including cash management, liquidity planning, financial reporting, and banking activities. This role partners closely with Finance, Accounting, banking partners, and internal...Temporary work
$40 - $45 per hour
We are seeking a polished, high-performing Treasury Analyst to join a fast-paced, high-growth organization in a highly visible role reporting directly to executive leadership and the C-suite. This position is ideal for a treasury professional who thrives in a dynamic public...Permanent employmentContract work- Position Summary SunStrong is seeking a detail-oriented and motivated Treasury Operations Associate to support daily treasury activities across SunStrong Management LLC, its affiliates, and supported organizations. This role is designed for an early-career professional...
$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- ...focusing on safety, managing risk and achieving best-in-class environmental standards. Job Description Position Summary: The Treasury Analyst supports the day-to-day operations of the Treasury function, including cash management, banking operations, liquidity forecasting...Temporary workInternshipWork at office
- We are seeking a Treasury Analyst to join a collaborative corporate accounting and finance team. This role plays a key part in managing daily cash activity, treasury operations, debt compliance, and investor‑related reporting for a growing energy‑focused organization....Full timeTemporary workWork at office
- ...and more exclusive features. Are you a polished, detail-oriented treasury professional looking for your next step with a company that... ...high-performing culture is seeking a Treasury & Fund Management Analyst to join their finance team. This role plays a critical part in...Full timeWork at office
- ...to a stronger future. We invite you to explore the position below and to submit your application to join our team! The Senior Treasury Analyst is responsible for managing the firm’s treasury operations, including cash management, banking activities, and liquidity planning...
- 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...
- Treasury Accountant Analyst Department: Finance & Accounting Main Duties: Cash Forecasting, Bank Reconciliation & ACH/NACHA Processing Focus Location: Houston, TX - Hybrid (In-office Tuesday, Wednesday, Thursday) Employment Type: Full-Time, Exempt Our Company...Full timeTemporary workWork at officeLocal areaFlexible hours
$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...- The Friedkin Group is seeking a Finance & Treasury Analyst to support daily liquidity management, financial analysis, and reporting for the enterprise. You will engage with banking relationships, treasury technology, and senior leadership on enterprise-wide initiatives...
- ...a key member of the Finance leadership team and trusted advisor to executive leadership. The Treasurer will oversee the Company’s treasury strategy, liquidity, capital structure, financing, banking relationships, and financial risk management to ensure the financial flexibility...
- ...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...Full timeBank staffImmediate startFlexible hoursDay shift
$40 per hour
The Treasury Analyst, Cash Management provides analytical and operational support to Treasury Operations. This role is responsible for managing daily cash administration activities, minimizing the organization's exposure to credit, interest rate, and foreign exchange risks...Hourly payPermanent employmentTemporary workWork experience placementShift work1 day per week$95k - $140k
...of lives.Position Summary:The Sr. Specialist – Assistant Treasurer plays a critical role in supporting the organization's global treasury operations, with a focus on liquidity management, cash forecasting, banking relationships, financial risk management, and treasury...Temporary workWork at officeWorldwide2 days per week- Fluence (Nasdaq: FLNC) is a global market leader delivering intelligent energy storage and optimization software for renewables and storage. Our solutions and operational services are helping to create a more resilient grid and unlock the full potential of renewable portfolios...Full timeContract workFor contractorsFor subcontractorVisa sponsorshipWork visa
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Treasury Analyst. Be the first to apply!


