Assistant Treasurer
$95k - $140kLivaNova, PLC
As a global medtech company, we are driven by our Vision of changing the trajectory of lives for a new day and our Mission to create ingenious solutions that ignite patient turnarounds. Our relentless commitment to patients and strong legacy of innovation in healthcare are the foundation of our future. If you're looking for a new chance, a new beginning, a new trajectory, LivaNova is where your talent can truly thrive. Join our talented team members worldwide to become a pioneer of tomorrow-because at LivaNova, we don't just treat conditions - we aspire to alter the course 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 transformation initiatives. This role combines traditional treasury expertise with advanced digital capabilities, including the application of Artificial Intelligence (AI), Machine Learning (ML), and data analytics to enhance forecasting accuracy, automate processes, and improve strategic decision-making. The role also offers structured development opportunities in adjacent financial risk areas, specifically credit & collections and global insurance programs, with the objective of broadening the individual's enterprise risk and working-capital expertise over time. The position requires a forward-looking treasury professional capable of driving efficiencies through technology, supporting enterprise-wide financial risk mitigation, and contributing to the evolution of treasury as a data-driven, value-creating function. The position is a hybrid role which requires at least 2 days a week working from LivaNova's Houston (TX) office. General Responsibilities:- Develop and enhance short- and long-term cash flow forecasting models using data analytics, AI/ML tools, and scenario-based simulations.
- Support daily liquidity management activities including cash positioning, funding decisions, and intercompany financing strategies.
- Partner with banking institutions to optimize account structures, fees, and digital banking capabilities, including APIs and real-time payment technologies.
- Assist the Global Treasurer in capital markets and financing activities, including advising on capital structure optimization, supporting debt issuances and credit facilities, coordinating with banks and advisors, and managing post-transaction execution, documentation, and covenant compliance.
- Analyze and assist in financial risk management activities including FX, interest rate, hedging execution, and compliance tracking.
- Drive treasury transformation initiatives, including automation of manual processes using AI-enabled tools where appropriate.
- Support implementation and optimization of Treasury Management tools and dashboards for real-time/daily visibility and reporting.
- Analyze large financial datasets to generate insights and improve working capital efficiency, leveraging predictive and prescriptive analytics.
- Ensure compliance with internal controls, SOX requirements, and global treasury policies.
- Collaborate cross-functionally with Accounting, FP&A, Tax, and IT teams to align treasury strategies with broader financial objectives.
- Monitor industry trends, fintech innovations, and regulatory developments to continuously enhance treasury operations.
- Support monitoring of customer exposures, credit limits, and aging trends in partnership with Finance and Commercial teams.
- Contribute to reporting and analysis related to credit risk and working capital performance.
- Over time, assume increased responsibility in supporting credit policy enhancements and risk-mitigation initiatives.
- Assist with data collection, policy renewals, broker engagement, and claims coordination.
- Develop familiarity with enterprise risk management concepts and insurance coverage structures.
- Over time, take on greater ownership of selected insurance program activities.
- 5-8+ years of progressive experience in treasury, corporate finance, or financial risk management within a global organization.
- Demonstrated experience with AI/ML applications in finance (e.g., predictive cash forecasting, anomaly detection, intelligent reconciliation).
- Proficiency in SAP (preferably S/4Hana).
- Advanced analytical skills with experience in data tools such as Power BI.
- Knowledge of financial instruments, derivatives, and hedging strategies.
- Understanding of APIs, open banking frameworks, and digital payment ecosystems.
- Excellent problem-solving, communication, and stakeholder management skills, influencing skills and influencing without authority.
- Ability to operate in a fast-paced, data-driven environment with a continuous improvement mindset.
- Bachelor's degree in Finance, Accounting, Economics, or a related field (required).
- Master's degree (MBA, Finance, or related discipline) preferred.
- Occasional travel may be required.
- The position is a hybrid role which requires at least 2 days a week working from LivaNova's Houston (TX) office.
- Health benefits - Medical, Dental, Vision
- Personal and Vacation Time
- Retirement & Savings Plan (401K)
- Employee Stock Purchase Plan
- Training & Education Assistance
- Bonus Referral Program
- Service Awards
- Employee Recognition Program
- Flexible Work Schedules
$200k - $220k
...Our client is an international water treatment equipment manufacturer. They require an exceptional Global Treasurer – Water Treatment Equipment to anchor their financial operations across the United States and international markets. Sitting at the right hand of the CFO...Suggested- ...Gather information from trader analysts to forecast cash needs and determine availability when new purchases are added to the schedule Assist with the preparation and distribution of daily, weekly, and monthly cash reports Maintain accurate records of all treasury...SuggestedWork at office
- We have partnered with a publicly traded company that is looking for a Treasury Analyst. This is a high-visibility seat; you’ll be presenting directly to the CEO and CFO, working in an active M&A environment, and building out the treasury function’s reporting and automation...SuggestedShift work
- ...with team members and other internal groups to ensure smooth and accurate Treasury operations. Essential Duties and Responsibilities Assist with daily Treasury tasks such as cash positioning, cash flow updates, and basic liquidity reporting. Support updates to financial...SuggestedTemporary workInternshipVisa sponsorshipWork visaMonday to FridayWeekend work
- ...documentation, and compliance with internal controls and audit requirements Identify process improvements, support automation initiatives, and assist with treasury projects and cross-functional efforts Treasury Analyst Requirements Bachelor's degree in Finance, Accounting, or...Suggested
- 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...
- Job Description Our client is a privately owned firm specializing in consulting, back-office outsourcing, and IT outsourcing. They exclusively serve the upstream and midstream sectors of the oil and gas industry. Recognized as a premier partner within the industry...Weekly payH1bWork at officeFlexible hours
- ...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...Temporary workBank staff
- ...professional looking to grow within a corporate treasury environment. Responsibilities Cash Management Work closely with the Director, Assistant Treasurer to ensure liquidity and funding requirements are delivered consistently with cash management strategies Monitor daily cash...Temporary workWork at officeFlexible hours
- Treasury Analyst (Contrast) - Houston, TX The Treasury Analyst is responsible for the daily execution of all treasury and cash management activities, including both trading and non-trading settlements, representing approximately 7000 treasury transactions per year. The...Daily paid
- ...Corporate TreasurerSummary/ObjectiveThe Corporate Treasurer is responsible for overseeing the company’s liquidity, cash flow forecasting, banking relationships, financial risk management, and working capital operations, including Accounts Receivable and Accounts Payable...Work at officeMonday to FridayWeekend work
$35 - $40 per hour
Opportunity Details Full Time Treasury Analyst Treasury Analyst JOB-10046946 Anticipated Start Date July 20, 2026 Location Houston, TX Type of Employment Contract Employer Info Since our clients founding it has exhibited...Daily paidFull timeContract workWork at officeLocal areaWork from home- 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...
- ...Treasurer About the Company Dynamic public higher education institution Industry Higher Education Type Educational Institution Employees 10,001+ About the Role The Company is seeking a Treasurer to oversee its complex and interconnected financial...Work experience placement
- ...detail, and the ability to operate effectively in a fast-paced, deadline-driven environment. Responsibilities Partner with the Assistant Treasurer to support the Company’s liquidity and funding requirements Coordinate daily cash management activities, including:...Temporary work
$40 - $45 per hour
...leadership on treasury-related initiatives and operational priorities Assist with M&A treasury activities, including Day 1 readiness,... ...tables and VLOOKUPs/XLOOKUPs Work closely with the CFO, Assistant Treasurer, and broader finance leadership in a highly collaborative, in-...Permanent employmentContract work- ...package that includes medical, dental, vision, life, disability, employer‑matching 401(k), and opportunities for advancement! The Treasurer & Finance Operations is a strategic finance leader responsible for building and leading a modern treasury function that supports a...Full timeTemporary workWork from homeWorldwide
$200k - $220k
A technical recruiting firm is seeking a Global Treasurer for a water treatment equipment manufacturer in Philadelphia. This executive role encompasses managing cash positions, capital markets, and financial risk. The ideal candidate will have 15+ years of treasury experience...- Houston Christian University is seeking a treasury professional to oversee liquidity, cash management, forecasting, banking relationships, and financing activities in support of the University’s financial health and compliance. Collaborating with the finance team, you will...
- TotalEnergies is seeking a Treasury Analyst in Houston, Texas, to manage daily cash activities and ensure payment accuracy. The role requires strong analytical skills and 3-5 years of experience in treasury and cash management. The successful candidate will conduct cash...
- Houston Christian University is seeking a treasury professional to monitor liquidity, forecast cash needs, and manage banking relationships. You will oversee payments, investments, and treasury reporting while ensuring compliance with GAAP, SOX, and internal controls. Ideal...
$96.5k - $207.5k
...opportunities to existing clients. Work closely with assigned client specialists to ensure excellent client service on an on-going basis. Assist with general bank communications to clients. Take ownership and deliver timely resolution of client issues. Develop knowledge of...Work experience placementBank staff- ...opportunities to existing clients. Work closely with assigned client specialists to ensure excellent client service on an on‑going basis. Assist with general bank communications to clients. Take ownership and deliver timely resolution of client issues. Develop knowledge of...Work experience placementBank staff
$40 - $45 per hour
RGP, located in Houston, Texas, is seeking a Treasury Analyst to support critical treasury operations in a fast-paced environment. This contract-to-hire role requires strong expertise in cash management, as well as advanced skills in Excel. The ideal candidate will have...Contract work- TotalEnergies Gas & Power North America, Inc. is seeking a Treasury Analyst to execute daily treasury and cash management activities for ATMI, TGPNA, and GLNGNA. The role involves handling both trading and non-trading settlements, with approximately 7,000 transactions annually...
- Position Summary We are seeking a Treasury Analyst for our Cash Management team. This employee provides professional accounting services and serves as the interface between all operating units and the Office of Accounting on cash management issues. You will be working on...Full timeWork at office
$35 - $40 per hour
GAS GLOBAL SERVICES in Houston, TX is seeking a detail-oriented Treasury Analyst to support their mid- and back-office treasury operations. The role involves financial transaction execution and cash reconciliation while ensuring compliance with internal policies. The ideal...- Société employeur TotalEnergies Gas & Power North America, Inc. Domaine Finance Type de contrat CDD Expérience Minimum 3 ans TotalEnergies operates in a highly dynamic and innovative international environment that demands a proactive, adaptable mindset and the ability...Daily paidContract workLocal areaVisa sponsorshipWork visa
- Selby Jennings is looking for a detail-oriented Treasury Analyst in Houston, Texas. This position supports daily cash management activities within a fast-paced treasury function, optimizing liquidity, ensuring compliance, and enhancing operational controls. The ideal candidate...
- Burnett Specialists Staffing | Recruiting is seeking a Treasury Analyst in Houston, TX. The role focuses on daily treasury and cash management activities, including settlements, forecasting, and cross-team coordination with Finance and Back Office groups. You will maintain...
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Assistant Treasurer. Be the first to apply!
- freight assistant Houston, TX
- visual assistant Houston, TX
- assistant no experience Houston, TX
- assistant Houston, TX
- home assistant Houston, TX
- kindergarten assistant Houston, TX
- assistant paralegal Houston, TX
- assistant patient observation Houston, TX
- technician assistant Houston, TX
- agent assistant Houston, TX

