Corporate Treasurer
Intuitive Machines LLC
Corporate TreasurerHouston, TXIntuitive Machines is an innovative space company making cislunar space accessible to public and private customers. Our mission is to advance science, exploration, communications, and economic progress from Earth to the Moon and beyond. With multiple NASA lunar missions in development and additional private missions on our manifest, we are helping pave the way for the return of humans to the Moon. Our team brings expertise across spacecraft design, development, testing, on-orbit operations, and safety.Reporting to the Chief Financial Officer, the Treasurer will be 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 and funding capacity needed to support growth and strategic objectives.Responsibilities:Treasury Strategy and LeadershipDevelop and execute an enterprise treasury strategy aligned with business objectives, risk tolerance, and long-term capital needs.Advise the CFO and executive leadership on liquidity, capital structure, financing, banking, capital markets, and financial risk.Establish treasury priorities, performance measures, policies, and operating standards.Liquidity and Cash ManagementLead enterprise-wide liquidity planning, cash management, cash positioning, investments, and funding capacity.Optimize cash investments while balancing liquidity, preservation of capital, risk, and return.Develop cash flow stress-testing and scenario analysis frameworks.Capital Structure and Capital MarketsEvaluate and optimize the Company's mix of cash, debt, equity, convertible securities, credit facilities, and other financing alternatives.Lead debt issuance, refinancing, credit facilities, and other financing transactions.Monitor leverage, maturities, covenants, borrowing capacity, financing costs, and refinancing exposure.Maintain capital markets readiness and develop financial models to evaluate financing structures, cost of capital, dilution, returns, and risk.Financial Risk ManagementLead the Company's financial risk management framework, including policies, exposure limits, mitigation strategies, and hedging programs.Manage exposures related to interest rates, foreign exchange, liquidity, credit, counterparties, commodities, and financial institutions.Strategic Finance and Capital AllocationProvide financial modeling, analytics, and scenario planning to support enterprise decision-making and capital allocation.Partner with FP&A and business leadership to align strategic plans, operating forecasts, capital requirements, and liquidity planning.Banking and External RelationshipsServe as the senior relationship owner for commercial banks, investment banks, lenders, financial advisors, and other financial institutions.Build a diversified network of financial partners to support the Company's evolving capital and operating needs.Governance, Controls, and ComplianceEstablish and maintain treasury policies covering cash, investments, debt, derivatives, banking, financial risk, and movement of funds.Maintain strong controls over treasury transactions, payments, banking activities, investments, and access to Company funds.Ensure compliance with debt agreements, covenants, regulatory requirements, and internal controls.Maintain appropriate governance, documentation, audit readiness, approval authorities, and segregation of duties for a public-company environment.Requirements:Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field.15+ years of progressive experience in corporate treasury, capital markets, corporate finance, investment banking, or related fields, including senior leadership.Proven experience leading a treasury function within a publicly traded, complex, or high-growth organization.Deep expertise in liquidity management, capital structure, cash forecasting, debt and equity markets, banking, investments, and financial risk.Significant experience executing complex financing transactions and managing relationships with banks, lenders, investment banks, and financial advisors.Strong knowledge of credit agreements, debt instruments, covenants, and corporate financing strategies.Advanced financial modeling, forecasting, scenario planning, risk assessment, and data analytics capabilities.Demonstrated integrity, financial stewardship, sound governance, and executive-level judgment.Preferred Qualifications:MBA or relevant advanced degree; CTP, CFA, CPA, or similar certification.Experience implementing or enhancing treasury management systems, forecasting platforms, automation, or financial analytics.All qualified applicants will receive consideration for employment without regard to sex, gender identity, sexual orientation, race, color, religion, national origin, disability, protected veteran status, age, or any other characteristic protected by law.
- ..., Accounting, Economics, Business, or related fieldCTP, or other treasury-related certification preferred 5-8+ years of treasury, corporate finance, or risk management experienceStrong experience with foreign exchange risk management and derivativesExperience supporting...Suggested
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- ...treasury operational activity, including daily reconciliations, generating reports, audit assistance, and supporting the Assistant Treasurer and Treasurer as needed.Collaboration: Work closely with internal departments to align cash management practices with business...SuggestedLong term contract
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$70k - $80k
..., and best practices within a truly global framework. This is a unique opportunity to receive training and hands‑on experience in corporate treasury management and global cash management within an international business. Key Responsibilities Manage daily cash positioning...Work at office- 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...
- 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...
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$85k - $125k
Senior Treasury AnalystWe are always seeking talented, motivated, growth-minded, and creative individuals. Our firm is committed to providing employee support and advancement, while embracing inclusion and innovation as keys to a stronger future.We invite you to explore...Temporary workWork at officeRemote workShift work- ...visible sponsorship from both the Treasury Manager and the VP & Treasurer. This position was created to build succession depth in the... ...timely processing of treasury transactions. Manage the Company’s corporate credit card program, including card administration, reporting,...Temporary workImmediate start
- UTHealth Houston is looking for a Treasury Analyst to join their Cash Management team. This full-time position will involve performing cash management services, monitoring investment programs, and forecasting cash flows. A minimum of an associate's degree in Business Administration...Full time
$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$65k - $70k
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 an experienced Treasury Analyst to...Full timeTemporary workWork at office- ...contact with banks, business units, accounts payable and accounting staff. Manage short-term investments, ensuring compliance with corporate investment policy. Maintain banking and financial institution relationships pertaining to cash management. Analyze complex bank...Temporary workWork at officeShift work
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$42 per hour
...including floating rate settings. Requirements: Bachelor's Degree in Accounting, Finance, or a related field. 2+ years of experience in Corporate Treasury, Treasury Operations, or Capital Markets. Experience with SAP systems (from ECC to S4/HANA) and Treasury Management...Contract work$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- 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...
- ...Location: Houston Responsibilities Partner with the Assistant Treasurer to support the Company?s liquidity and funding requirements... ...field Experience in treasury operations, cash management, or corporate finance Strong understanding of: Cash management Banking products...Temporary work
- ...management across currencies, and support for a centralized treasury within a global framework. This role offers hands-on experience in corporate treasury and cash management in an international business context. You will gain exposure to cash forecasting, treasury reporting...Work at office
$40 - $45 per hour
...tables and VLOOKUPs/XLOOKUPs Work closely with the CFO, Assistant Treasurer, and broader finance leadership in a highly collaborative, in-... ...field preferred 3+ years of treasury, cash management, or corporate finance experience preferred Public company experience strongly...Permanent employmentContract work
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