Energy Treasury Analyst: Cash, Debt & Liquidity
Caturus Management Services, LLC
Caturus Management Services, LLC is seeking a Treasury Analyst to support cash management, liquidity forecasting, and debt administration within a PE-backed energy platform. The role offers exposure to senior treasury leadership and cross-functional collaboration across Accounting, FP&A, and Legal. The ideal candidate has 1–3 years of treasury or related experience, strong Excel skills, and meticulous attention to detail, with opportunities to work on M&A integration and process improvements. #J-18808-Ljbffr Caturus Management Services, LLC
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$120k
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- ...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. The Senior Treasury Analyst monitors cash positions, reviews...Cash
$70k - $80k
Treasury Analyst (1-2 years of experience) Houston, Texas Hybrid working (2-3 days in office)... ...corporate treasury management and global cash management within an international... ...Manage daily cash positioning and monitor liquidity across multiple bank accounts, banking...CashWork at office- Support mid‑back office Treasury operations by executing settlements, confirmations, and bank... ...for FX spot, hedging, commodity, and debt transactions Perform electronic trade confirmations... ...data in Treasury systems Bank & Cash Operations Administer intercompany...Cash
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- Overview Senior Treasury Analyst role at NRG in Houston, TX. Welcome to the intersection of energy and home services. NRG is focused on propelling... ...provide support for daily cash management activities,... ...term investing, payments and liquidity management. The candidate should...CashTemporary workWork at officeShift 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... ...What you will work on Key Responsibilities Manage daily cash positioning, liquidity monitoring, and cash forecasting to support ongoing...CashPermanent employmentContract work- ...Treasury Accountant Analyst The Treasury Accountant/Analyst plays a vital role in ensuring the financial... ...primarily responsible for accurate cash forecasting, comprehensive bank... ...flow forecasts to ensure sufficient liquidity for payroll funding, tax payments, and...CashTemporary workWork at officeLocal area
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