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Director Treasury Jobs in Spring, TX (NOW HIRING)

Treasury Clerk

Houston, TX

$16.25 - $21.75/hr

The Treasury Clerk will work with vendors to confirm banking instructions and input banking ... Familiarity with common office processes, handling general inquires and directing telephone calls

Treasury Clerk

Houston, TX

$16.25 - $21.75/hr

The Treasury Clerk will work with vendors to confirm banking instructions and input banking ... Familiarity with common office processes, handling general inquires and directing telephone calls

Principal Fund Treasury

Houston, TX · On-site

$65K - $90K/yr

Employee stock purchase plan You Role The Fund Treasury Principal is a senior individual ... Self-directed, accountable, and comfortable managing multiple priorities * Demonstrate a curious ...

Principal Fund Treasury

Houston, TX · Hybrid

$65K - $90K/yr

Employee stock purchase plan You Role The Fund Treasury Principal is a senior individual ... Self-directed, accountable, and comfortable managing multiple priorities * Demonstrate a curious ...

This position reports to the Director of FP&A and collaborates closely with Finance, Accounting, Operations, and business leaders across the organization. What You'll Do Treasury & Cash Management

ASSISTANT DIRECTOR (EXE LEV)

TX · On-site

$130K - $167K/yr

Subject to change POSITION OVERVIEW The Assistant Director - Financial Planning, Treasury and Analysis serves as a senior financial leader for the Houston Airport System (HAS) and is responsible for ...

Showing results 41-60

Director Treasury information

See Spring, TX salary details

$79.2K

$142.3K

$204.7K

How much do director treasury jobs pay per year?

As of Aug 8, 2026, the average yearly pay for director treasury in Spring, TX is $142,340.00, according to ZipRecruiter salary data. Most workers in this role earn between $124,100.00 and $154,800.00 per year, depending on experience, location, and employer.

What are the key skills and qualifications needed to thrive as a director treasury?

To thrive as a Director Treasury, you need advanced knowledge of cash management, financial risk assessment, corporate finance, and a degree in finance or accounting, often supplemented by CPA, CFA, or CTP certification. Expertise in treasury management systems, enterprise resource planning (ERP) software, and cash forecasting tools is typically required. Strong leadership, strategic thinking, and excellent interpersonal communication help you excel in this senior-level role. These skills are critical because the Director Treasury is responsible for safeguarding an organization's liquidity, minimizing risk, and guiding financial strategy.

What is a director treasury?

A Director of Treasury is responsible for managing an organization's financial assets, liquidity, risk, and capital structure. They oversee cash management, investment decisions, banking relationships, and financial policies to optimize financial stability and efficiency. This role requires strategic planning to ensure sufficient funding for operations and growth while mitigating financial risks. Additionally, they collaborate with internal and external stakeholders to implement best financial practices and regulatory compliance.

What are the typical challenges faced by a director treasury and how can they be addressed?

A Director Treasury often encounters challenges such as managing liquidity across multiple business units, navigating volatile financial markets, and ensuring compliance with complex regulatory requirements. These challenges can be addressed through ongoing process optimization, implementation of advanced forecasting and risk management tools, and establishing strong lines of communication with other finance, operations, and executive teams. Additionally, staying informed of market trends and regulatory updates is essential for proactive decision-making. Being adaptable and resilient helps Directors of Treasury to safeguard the organization’s financial health while supporting strategic business growth.

What are the most commonly searched types of Treasury jobs in Spring, TX? The most popular types of Treasury jobs in Spring, TX are:
What are popular job titles related to Director Treasury jobs in Spring, TX? For Director Treasury jobs in Spring, TX, the most frequently searched job titles are:
What job categories do people searching Director Treasury jobs in Spring, TX look for? The top searched job categories for Director Treasury jobs in Spring, TX are:
What cities near Spring, TX are hiring for Director Treasury jobs? Cities near Spring, TX with the most Director Treasury job openings:
Infographic showing various Director Treasury job openings in Spring, TX as of August 2026, with employment types broken down into 1% As Needed, 81% Full Time, 14% Part Time, 1% Temporary, and 3% Contract. Highlights an 90% Physical, 5% Hybrid, and 5% Remote job distribution, with an average salary of $142,340 per year, or $68.4 per hour.

Global Treasurer - Water Treatment Equipment

Jeff Smith and Associates

Houston, TX • On-site

$200 - $220/hr

Other

Posted 3 days ago

New


Job description

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, this is a high-impact executive role for someone who combines deep technical treasury expertise with the leadership presence to build, inspire, and develop a world‑class team. This is not a maintenance role — they require a builder, a strategist, and a people developer who can elevate the treasury function into a true competitive advantage for the business.


The ideal candidate for this role is:



  • A genuine people developer — you are known for the careers you have helped build, not just the deals you have closed.

  • Have executive presence and credibility with CFO, board, and external banking partners.

  • Highly collaborative, able to influence without authority across functions and geographies.

  • Calm, decisive, and clear‑headed in high‑pressure or rapidly changing environments.


The strategic pillars of the role include:



  1. Cash & Liquidity Management. Own the global cash position with full visibility and control. Design and manage cash pooling and notional pooling structures across US and international entities, build rolling liquidity forecasts, and ensure the business is never caught short or sitting on unproductive capital. This role will establish a daily cash reporting rhythm that gives the CFO and leadership team real‑time confidence in the company's liquidity position.

  2. Capital Markets & Debt Management. Lead the company's relationship with capital markets — managing existing revolving credit facilities, term loans, and other debt instruments, while proactively identifying the right funding structures to support growth. This role will own all bank syndication processes, lead covenant compliance, and advise the CFO on optimal capital structure in the context of US and global market conditions.

  3. Foreign Exchange & Financial Risk Management. Build and execute a disciplined hedging program to protect the company from FX, interest rate, and, where applicable, commodity exposure. The Global Treasurer will define the company's risk appetite in collaboration with the CFO, translate that into a practical hedging policy, and ensure execution is consistent, well‑documented, and defensible to the board.

  4. Banking & Financial Counterparty Relationships. Serve as the executive owner of all US and global banking relationships. This role will negotiate credit terms, fees, and service agreements, rationalize the banking panel where appropriate, and ensure the company always has access to the financial products and capacity it needs. Strong relationships with US money center banks and global institutions are essential.

  5. Treasury Technology & Digital Transformation. Drive the selection, implementation, and optimization of Treasury Management Systems (TMS) and related financial technology. The role will build automation into cash forecasting, payment workflows, and reconciliation processes, and establish a single, reliable source of truth for all treasury data across the group. Experience with platforms such as Kyriba, GTreasury, or similar is strongly valued.

  6. Compliance, Internal Controls & Governance. Ensure all treasury activities are executed within a robust control environment, fully compliant with US GAAP, SOX requirements, relevant international regulations, and internal policy. This role will own the global treasury policy, review it annually, and ensure it is understood and followed across all entities and geographies.

  7. Pension, Insurance & Corporate Finance Support. Where applicable, oversee pension fund governance, corporate insurance programs, and provide treasury input into M&A transactions, due diligence processes, and post‑merger integration activities in partnership with the CFO and corporate development teams.


The caliber of leader we are looking for will be defined as much by how they grow people as by what they personally deliver. Specifically, this role is expected to:



  • Architect the team structure — assess current capabilities, identify gaps, and build a treasury organization that is fit for the company's next phase of growth. This may include hiring, restructuring, or elevating existing talent.

  • Be a hands‑on coach and mentor — invest real time in developing your direct reports, holding regular one‑on‑ones, providing honest developmental feedback, and creating visible career paths within the treasury function.

  • Build bench strength — cross‑train team members across treasury pillars so the function is resilient, agile, and not dependent on any single individual. Succession planning starts from day one.

  • Set the performance bar — establish clear KPIs and accountability frameworks for each team member, tied to both technical delivery and behavioral standards.

  • Create a culture of continuous improvement — encourage the team to challenge existing processes, bring forward ideas, and take ownership of innovation within their areas of responsibility.

  • Be a visible leader across the business — treasury does not operate in a silo. This role is expected to build strong working relationships with FP&A, Tax, Legal, Accounting, and business unit leaders to ensure treasury strategy is integrated into broader business decisions.


Qualifications for this position include:



  • 15+ years of progressive treasury experience, with a minimum of 5 years in a senior treasury leadership role.

  • Proven experience managing treasury operations across multiple countries and currencies, with significant US‑based treasury responsibility.

  • Track record of building or materially transforming a treasury function in a complex, multi‑entity environment.

  • Experience working closely with a CFO and presenting to board‑level audiences.

  • Prior exposure to M&A treasury integration is a strong advantage.

  • Deep expertise across cash management, FX and interest rate hedging, debt capital markets, and financial risk management.

  • Strong command of US GAAP treasury accounting, SOX compliance, and internal control frameworks.

  • Proficiency in TMS platforms (Kyriba, GTreasury, FIS Quantum, or equivalent).

  • Advanced Excel and financial modeling skills; familiarity with Power BI or similar analytics tools is a plus.

  • Bachelor's degree in Finance, Accounting, or Economics required.

  • MBA, CPA, or CFA strongly preferred.

  • Certified Treasury Professional (CTP) designation highly valued.

  • ACT qualification is an additional advantage.


The salary for this position is $200 to $220K, plus bonus and RSU, and full benefits.


Interested candidates should forward a resume (MS Word attachment preferred) plus a brief email describing your relevant experience and reasons for your interest to: Christl@jsmithassoc.com. Or call (519) 270-3780 for more information. All inquiries will be held in strict confidence.


Jeff Smith & Associates is a technical recruiting firm that specializes in the placement of exceptional candidates in the Water and Wastewater Treatment industries. To view other opportunities on which we are currently working, go to our website at www.jsmithassoc.com.

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