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Controller Treasurer Jobs in Spring, TX (NOW HIRING)

Reporting to the Corporate Controller, this role is responsible for the Company's global liquidity strategy, banking relationships, debt administration, treasury operations, finance infrastructure ...

Reporting to the Corporate Controller, this role is responsible for the Company's global liquidity strategy, banking relationships, debt administration, treasury operations, finance infrastructure ...

Controller

Houston, TX · Hybrid

$115K - $140K/yr

Controller Salary: $115,000-$140,000 base Why This Opportunity Stands Out: * Play a key leadership ... Lead month-end close and financial reporting across 30+ entities • Manage treasury operations ...

Reporting to the Corporate Controller, this role is responsible for the Company's global liquidity strategy, banking relationships, debt administration, treasury operations, finance infrastructure ...

The Controller partners closely with Finance, Operations, Sales, Customer Experience, Information ... Oversee daily treasury and banking operations, including bank account administration, payment ...

New

Controller

Houston, TX · On-site

$125K - $150K/yr

Growing multi-entity organization is seeking a hands-on Controller to lead accounting, financial reporting, consolidations, treasury activities, and process improvement initiatives. This role offers ...

We are seeking an experienced and strategic Shared Services Controller to lead our Record-to-Report ... Treasury & Regulatory Reporting * Act as the primary liaison with London Treasury for banking ...

Associate, Working Capital

Houston, TX · On-site

$90K - $130K/yr

Our PEPI services include: CFO Services (including interim management - CFO, Controller, Treasurer) Rapid Results CDD/Strategy Merger Integration & Carve-outs IT Supply Chain The CFO Services ...

The Senior Treasury Analyst works closely with banking partners and internal stakeholders across the firm to maintain an efficient and well-controlled treasury function, while identifying ...

Assistant Controller

Houston, TX · On-site

$110K - $140K/yr

The Assistant Controller supports the Controller in managing the Company's accounting operations ... treasury activities, cash flow forecasting, and adherence to budgets * Support accounts payable ...

Assistant Controller A high-growth, private equity-backed organization is seeking an Assistant ... Support treasury activities, including reconciliations and cash-related processes * Serve as a key ...

Assistant Controller A high-growth, private equity-backed organization is seeking an Assistant ... Support treasury activities, including reconciliations and cash-related processes * Serve as a key ...

Work you'll do As an SAP Treasury Senior Consultant on the Controllership and Treasury Transformation team, you will be responsible for helping clients modernize treasury operations, implement ...

Oversee treasury-related accounting compliance and financial risk management support. M&A ... Prior experience as Corporate Controller or VP of Accounting in a $250M+ multi-entity organization.

Be Seen First

Supervise Accounts Payable, Accounts Receivable, payroll, and treasury functions. * Review customer ... Prior experience as a Controller or in a similar leadership role. * Background in distribution ...

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Controller Treasurer information

See Spring, TX salary details

$25.8K

$77.4K

$157.1K

How much do controller treasurer jobs pay per year?

As of Aug 10, 2026, the average yearly pay for controller treasurer in Spring, TX is $77,436.00, according to ZipRecruiter salary data. Most workers in this role earn between $41,400.00 and $104,100.00 per year, depending on experience, location, and employer.

Do controllers and treasurers make good money?

Controllers and treasurers are typically well-compensated roles in finance, with salaries often ranging from $80,000 to over $200,000 annually depending on experience, industry, and location. These positions usually require strong financial skills, certifications such as CPA or CFA, and experience in accounting or finance management.

How does a controller treasurer typically collaborate with other departments to ensure effective financial management?

Controller Treasurers work closely with departments such as operations, sales, and human resources to ensure accurate budgeting, forecasting, and compliance with financial policies. They often facilitate cross-departmental meetings to review financial performance, address budget variances, and provide guidance on financial decision-making. Effective communication and relationship-building skills are key, as these professionals must translate complex financial data into actionable insights for non-financial colleagues. This collaborative environment helps maintain fiscal discipline and supports the organization's strategic goals.

What is the difference between Controller Treasurer vs Controller?

AspectController
Primary ResponsibilitiesOversees financial reporting, accounting, and internal controls
Focus AreaFinancial accuracy, compliance, and internal financial management
CertificationsCPA, CMA often preferred
Work EnvironmentCorporate finance departments, large organizations

The Controller and Treasurer roles both operate within corporate finance but focus on different areas. The Controller primarily manages accounting, financial reporting, and compliance, ensuring accurate financial statements. The Treasurer focuses on cash management, funding, and financial strategy. While both roles require financial expertise and certifications like CPA or CMA, their responsibilities and daily tasks differ significantly, making each essential for comprehensive financial management in organizations.

What is a controller treasurer?

Controller Treasurers are senior financial professionals responsible for managing an organization's accounting operations, financial reporting, and treasury functions. They oversee budgeting, financial planning, cash management, and ensure regulatory compliance. Their role often involves developing financial strategies, monitoring internal controls, and safeguarding the company's assets. Controller Treasurers typically work closely with executive management to support business decisions and long-term financial goals.

What are the key skills and qualifications needed to thrive as a controller treasurer?

To thrive as a Controller Treasurer, you need a strong background in accounting, finance, and financial reporting, typically supported by a degree in finance or accounting and relevant certifications like CPA or CMA. Proficiency in enterprise resource planning (ERP) systems, financial modeling tools, and regulatory compliance software is essential. Analytical thinking, attention to detail, leadership, and effective communication are standout soft skills in this position. These capabilities ensure accurate financial management, regulatory adherence, and strategic decision-making that support organizational growth and stability.
What are popular job titles related to Controller Treasurer jobs in Spring, TX? For Controller Treasurer jobs in Spring, TX, the most frequently searched job titles are:
What job categories do people searching Controller Treasurer jobs in Spring, TX look for? The top searched job categories for Controller Treasurer jobs in Spring, TX are:
What cities near Spring, TX are hiring for Controller Treasurer jobs? Cities near Spring, TX with the most Controller Treasurer job openings:

Full-time

Re-posted 3 days ago


Job description

Location: Houston, TXPOSITION PURPOSE

The Controller and Treasury is responsible for the overall financial stewardship of Opus CMC by leading all accounting, treasury, financial reporting, cash management, internal controls, and banking operations. This executive-level position ensures the integrity of the Company's financial records while safeguarding corporate assets, optimizing cash flow, maintaining strong banking relationships, and supporting strategic financial planning.

The Controller and Treasury oversees the day-to-day accounting operations, manages the monthly and annual financial close processes, develops and maintains internal financial controls, and ensures compliance with Generally Accepted Accounting Principles (GAAP), regulatory requirements, and company policies. The role partners closely with the Chief Financial Officer and Executive Leadership Team to provide timely financial insights that support informed business decisions, operational excellence, and sustainable company growth.

Ideal Candidates-

The ideal candidate is an experienced finance and accounting leader with a strong background in corporate accounting, treasury management, financial planning, and business operations. They possess exceptional analytical and organizational skills while maintaining a strategic mindset capable of supporting executive decision-making.

This individual demonstrates integrity, professionalism, and sound financial judgment. They are highly collaborative, embrace continuous improvement, leverage technology to automate financial processes and have a proven ability to build and lead high-performing finance teams in a fast-paced, service-driven organization.

Key ResponsibilitiesFinancial Accounting & Reporting
  • Lead all accounting operations for the organization.
  • Oversee monthly, quarterly, and annual financial close processes.
  • Prepare and review accurate GAAPcompliant financial statements.
  • Develop executive financial reporting packages and dashboards.
  • Analyze financial performance and provide recommendations to executive leadership.
  • Maintain the corporate chart of accounts.
  • Ensure proper revenue recognition and expense management.
  • Oversee fixed asset accounting and depreciation.
  • Maintain accurate general ledger activity.
  • Treasury & Cash Management
  • Manage the Company's treasury function and daily cash position.
  • Develop and maintain short and longterm cash flow forecasts.
  • Optimize working capital and corporate liquidity.
  • Monitor banking activity and cash reconciliations.
  • Manage all corporate banking relationships.
  • Negotiate banking services and fees.
  • Oversee corporate credit facilities and financing arrangements.
  • Recommend investment strategies for excess operating cash.
  • Ensure effective cash controls and fraud prevention practices.
  • Financial Controls & Compliance
  • Develop and maintain strong internal financial controls.
  • Ensure compliance with GAAP and applicable financial regulations.
  • Coordinate annual financial statement audits.
  • Support tax preparation and external auditors.
  • Develop and maintain accounting policies and procedures.
  • Ensure compliance with corporate financial policies.
  • Support SOC audits and client financial due diligence activities.
  • Monitor financial risk and implement mitigation strategies.
  • Financial Planning & Business Partnership

  • Partner with the CFO during annual budgeting and forecasting.
  • Provide financial analysis supporting strategic initiatives.
  • Assist with business planning and capital investment decisions.
  • Monitor departmental financial performance.
  • Develop key financial metrics and performance indicators.
  • Support mergers, acquisitions, and corporate growth initiatives.
  • Leadership & Operational Excellence
  • Lead and develop the Finance and Accounting team.
  • Establish departmental objectives and performance standards.
  • Mentor and coach finance professionals.
  • Improve accounting and treasury processes through automation.
  • Evaluate financial systems and recommend enhancements.
  • Foster collaboration across Operations, Product, Technology, Sales, Human Resources, and Executive Leadership.
  • Education

    Education & Experience

    Required
  • Bachelor's Degree in Accounting, Finance, or Business Administration.
  • CPA designation strongly preferred.
  • MBA preferred.
  • Certified Treasury Professional (CTP) preferred.
  • Minimum of 10 years of progressive accounting and finance experience.
  • Minimum of 5 years in a Controller, Treasury, or senior financial leadership role.
  • Public accounting experience preferred.
  • Experience managing corporate accounting and treasury functions.
  • Strong experience with financial reporting, audits, budgeting, and cash management.
  • Advanced Microsoft Excel proficiency.
  • Experience with ERP and financial management systems.
  • ________________________________________

    Knowledge
  • Generally Accepted Accounting Principles (GAAP)
  • Corporate accounting
  • Treasury management
  • Cash flow forecasting
  • Working capital management
  • Financial reporting
  • Internal controls
  • Budgeting and forecasting
  • Banking operations
  • Payroll accounting
  • Revenue recognition
  • Audit management
  • Financial compliance
  • Corporate finance
  • Business process improvement
  • Financial systems and automation
  • Skills & Abilities
  • Executive financial leadership
  • Strategic thinking
  • Advanced financial analysis
  • Cash management and treasury oversight
  • Strong business acumen
  • Executivelevel communication
  • Leadership and team development
  • Problem solving and decision making
  • Process improvement
  • Risk assessment
  • Project management
  • Relationship management
  • High attention to detail
  • Exceptional organizational skills
  • Ability to manage multiple priorities in a fastpaced environment
  • Success MeasuresSuccess in this role will be measured by:
  • Accurate and timely monthly, quarterly, and annual financial reporting.
  • Successful completion of internal and external audits.
  • Effective cash flow management and liquidity planning.
  • Strong internal control environment with minimal financial risk.
  • Timely completion of monthend close activities.
  • Accurate forecasting and budgeting.
  • Compliance with all financial regulations and company policies.
  • Strong banking and financial institution relationships.
  • Continuous improvement and automation of finance processes.
  • Development of a highperforming Finance team that supports Opus CMC's strategic growth objectives.