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Head Of Treasury Operations Jobs in Spring, TX (NOW HIRING)

Develop scenario analysis and stress-testing frameworks to evaluate the impact of market conditions, operational changes, and strategic initiatives on treasury position and financial flexibility

Develop scenario analysis and stress-testing frameworks to evaluate the impact of marketconditions, operational changes, and strategic initiatives on treasury position and financialflexibility

Treasury Specialist

Houston, TX · On-site

$48 - $72/hr

About The Role The Treasury Specialist is responsible for supporting the daily operations of the Treasury department, including the preparation of cash journals, processing of treasury transactions ...

This is not a traditional treasury role focused solely on cash positioning or moving funds between ... The ideal candidate possesses a strong sense of ownership, intellectual curiosity, and a continuous ...

This is not a traditional treasury role focused solely on cash positioning or moving funds between ... The ideal candidate possesses a strong sense of ownership, intellectual curiosity, and a continuous ...

This is not a traditional treasury role focused solely on cash positioning or moving funds between ... The ideal candidate possesses a strong sense of ownership, intellectual curiosity, and a continuous ...

This is not a traditional treasury role focused solely on cash positioning or moving funds between ... The ideal candidate possesses a strong sense of ownership, intellectual curiosity, and a continuous ...

About The Role The Treasury Specialist is responsible for supporting the daily operations of the Treasury department, including the preparation of cash journals, processing of treasury transactions ...

Operational Oversight: * Provide executive oversight of, commercial, small business, and specialty ... Cash Management (CCM)/ Certified Treasury Professional (CTP) * Extensive knowledge and ...

About The Role The Treasury Specialist is responsible for supporting the daily operations of the Treasury department, including the preparation of cash journals, processing of treasury transactions ...

About The Role The Treasury Specialist is responsible for supporting the daily operations of the Treasury department, including the preparation of cash journals, processing of treasury transactions ...

Showing results 21-40

Head Of Treasury Operations information

See Spring, TX salary details

$79.2K

$142.3K

$204.7K

How much do head of treasury operations jobs pay per year?

As of Sep 6, 2026, the average yearly pay for head of treasury operations 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 does a head of treasury operations do?

A Head of Treasury Operations oversees the daily management of an organization's treasury activities, including cash management, banking relationships, liquidity, risk management, and compliance with financial policies. They ensure efficient movement and safeguarding of funds, optimize cash flow, and implement strategies for managing financial risks. This role often involves leading a team, working closely with other finance departments, and ensuring that treasury operations align with the company’s overall financial goals.

What are the key skills and qualifications needed to thrive as a head of treasury operations, and why are they important?

To thrive as a Head Of Treasury Operations, you need deep knowledge of cash management, liquidity planning, financial risk management, and a degree in finance or a related field, often supplemented with certifications like CTP or CFA. Expertise in treasury management systems (TMS), banking platforms, and ERP software is crucial for efficient daily operations. Strong leadership, attention to detail, and excellent communication skills help drive process improvements and navigate cross-functional teams. These capabilities are essential to ensure organizational liquidity, minimize financial risk, and maintain compliance in a complex financial landscape.

What are some common challenges faced by a head of treasury operations, and how can they be addressed?

A Head of Treasury Operations often navigates challenges such as managing liquidity risk, ensuring compliance with evolving regulations, and optimizing cash flow across multiple entities or regions. These challenges require strong analytical skills, up-to-date knowledge of industry regulations, and effective collaboration with internal teams like accounting, risk management, and IT. Implementing robust treasury management systems and fostering open communication across departments can help streamline processes and mitigate risks.

What is the difference between Head Of Treasury Operations vs Treasury Manager?

AspectHead Of Treasury OperationsTreasury Manager
ResponsibilitiesOversees entire treasury functions, including strategy, risk management, and complianceManages daily treasury activities, cash management, and banking relationships
Required CredentialsTypically requires advanced certifications like CFA or CPA, with significant experienceOften requires similar certifications but with less strategic focus
Work EnvironmentStrategic, leadership role often in senior finance departmentsOperational, focused on execution within treasury teams
Industry UsageCommon in large corporations and financial institutionsFound in companies of various sizes, often as a mid-level role

The Head Of Treasury Operations focuses on strategic leadership and overall treasury management, while the Treasury Manager handles daily operations and cash activities. Both roles require relevant certifications and experience, but the Head Of Treasury Operations has a broader scope and strategic responsibilities.

What are popular job titles related to Head Of Treasury Operations jobs in Spring, TX?

For Head Of Treasury Operations jobs in Spring, TX, the most frequently searched job titles are:

What job categories do people searching Head Of Treasury Operations jobs in Spring, TX look for?

The top searched job categories for Head Of Treasury Operations jobs in Spring, TX are:

What cities near Spring, TX are hiring for Head Of Treasury Operations jobs?

Cities near Spring, TX with the most Head Of Treasury Operations job openings:

Infographic showing various Head Of Treasury Operations job openings in Spring, TX as of August 2026, with employment types broken down into 1% As Needed, 82% Full Time, 14% Part Time, 1% Temporary, and 2% Contract. Highlights an 94% Physical, 2% Hybrid, and 4% Remote job distribution, with an average salary of $142,340 per year, or $68.4 per hour.

Director Treasury

Port Houston

Houston, TX • On-site

Full-time

Retirement

Re-posted 23 days ago


Job description

Thank you for considering a career at Port Houston. We appreciate your interest in joining our team. By applying, you are taking an important step toward advancing your career with an organization committed to excellence.
Port Houston offers competitive compensation, comprehensive benefits, and a diverse, inclusive work environment. Joining our team means embarking on a fulfilling career path with opportunities for growth and impact.
Before submitting your application, please ensure your resume is ready for upload in either .doc or .pdf format. Application must be completed in full.
Position Summary:
Provides strategic leadership and executive oversight for the treasury and capital finance function, establishing and optimizing enterprise-class capabilities in debt portfolio management, liquidity optimization, cash management, investments, banking relationships, pension and post-retirement benefit finance, regulatory compliance, treasury policy governance, and robust financial controls that safeguard assets and ensure fiduciary accountability.
Partners with senior management and stakeholders to develop forward-looking treasury strategies powered by advanced analytics, predictive modeling, and technology platforms that enhance decision-making, optimize capital allocation, and create competitive advantage. Ensures all strategies and processes align with internal control frameworks, compliance requirements, and risk-mitigation
standards. Drives modernization of the treasury technology stack, including implementation and optimization of integrated Treasury Management platforms, to enable real-time visibility, automated workflows, control integrity, and data-driven strategic initiatives. Leads a high-performing treasury team
in delivering value through technological innovation, rigorous financial analysis, strict adherence to financial controls, and proactive risk management to support the organization's mission of efficient infrastructure investment and sustainable value creation.
Directs staff responsible for daily cash and investment management, depository and custodial banking services, bank and rating agency relations, mitigating credit and financial risk exposures, ensuring
compliance with applicable laws, policies, and bond covenants, and strategies to optimize liquidity. Establishes, monitors, and continuously strengthens financial controls across cash handling, investment activities, debt administration, and treasury operations to ensure transparency, accuracy, and audit readiness.
Key Responsibilities/Duties:
Leadership & Team Development
  • Direct and develop a treasury team, establishing clear accountability frameworks, performance metrics, and professional development pathways aligned with organizational excellence standards
  • Establish departmental goals, objectives, and performance standards that balance operational rigor with strategic innovation; track key performance indicators (KPIs) to measure treasury value creation
  • Conduct regular performance evaluations, provide coaching and mentorship, and foster a culture of continuous learning in technology, finance, and analytics
  • Build a treasury organization capable of leveraging advanced analytics and technology to drive competitive advantage and organizational value

Financial Risk Management & Compliance
  • Oversee identification, measurement, and mitigation of treasury-related financial risks, including interest rate risk, credit risk, liquidity risk, and foreign exchange exposure
  • Establish policies, procedures, and internal financial controls to ensure compliance with debt covenants, bond indentures, legal agreements, and applicable regulatory requirements (e.g., GASB, Texas Pension Review Board, Municipal Securities Rulemaking Board)
  • Maintain regulatory compliance across all treasury activities; ensure accurate bond disclosures and timely submissions to government agencies and rating organizations
  • Manage the Authority's bond arbitrage liability and engage outside bond counsel for the reporting and timely payment of any amounts due to the IRS
  • Lead and organize IRS audit requests, engage disclosure and tax counsel, assemble documentation for the stated bond issue under audit and file report to the IRS in accordance with the request

Technology & System Leadership
  • Lead the strategic implementation, optimization, and continuous improvement of enterprise treasury platforms (e.g., Kyriba or other), ensuring full utilization of capabilities for cash management, liquidity forecasting, and reporting
  • Own the technology roadmap for the treasury department; evaluate, recommend, and oversee adoption of emerging treasury technologies and analytical tools to enhance efficiency and decision-making
  • Establish data governance frameworks, data quality standards, and system integration protocols to ensure accurate, timely, and accessible financial information across treasury systems
  • Collaborate with IT leadership and external vendors to ensure systems security, compliance, business continuity, and scalability to support organizational growth
  • Champion automation and process optimization initiatives to reduce manual workload, improve accuracy, and free resources for higher-value strategic analysis

Predictive Analytics & Financial Forecasting
  • Collaborate with Financial Planning and Analysis to establish enterprise-wide cash flow forecasting protocols that integrate operational data with strategic plans to provide management with proactive insights on liquidity and funding requirements
  • Develop scenario analysis and stress-testing frameworks to evaluate the impact of market conditions, operational changes, and strategic initiatives on treasury position and financial flexibility
  • Create advanced analytics dashboards and reporting tools that enable real-time treasury visibility and support agile decision-making by senior management
  • Conduct continuous analysis and variance reviews of forecasts against actual results; refine models and assumptions to improve prediction accuracy and reliability

Strategic Capital & Financial Management
  • Responsible for leading and collaborating with internal and external parties to develop integrated financing strategies that optimize the capital structure, minimize cost of capital, and maximize financial flexibility
  • Lead debt portfolio management activities, including negotiating and executing short-term and long-term financing transactions, refinancing opportunities, covenant compliance monitoring, and strategic issuance planning aligned with capital improvement program implementation
  • Oversee bond disclosures, debt documentation, and required filings with rating agencies, regulatory bodies, and market participants to maintain market access and organizational transparency
  • Manage banking relationships and rating agency relations to support favorable borrowing terms, operational efficiency, and strategic opportunities
  • Establish and maintain investment policies and procedures; evaluate options and responsible for the investment for the $700M+ of general funds, asset allocation strategies, and performance benchmarks to optimize returns within risk parameters

Pension & Benefit Finance Administration
  • Oversee comprehensive administration of defined benefit pension plans, other postemployment benefits (OPEB) trusts, defined contribution 401(a) plans, and deferred compensation 457(b) plans
  • Consult with pension representatives, actuaries, investment managers, external auditors, and legal counsel on asset allocation, investment manager selection, plan amendments, and compliance with accounting standards
  • Monitor plan performance against investment benchmarks and liability metrics; conduct variance analyses and provide recommendations for optimizing plan funding and returns

Strategic Communication & Stakeholder Relations
  • Create compelling financial analyses, presentations, and reports that translate complex treasury activities into clear strategic insights for senior management and Board stakeholders
  • Develop ad-hoc financial analyses to support strategic decision-making, including liquidity impact assessments, capital optimization opportunities, and cost-benefit analyses of financing alternatives
  • Participate in the Speakers Bureau and community engagement initiatives to enhance organizational visibility and communicate Port Houston's economic impact and strategic importance
  • Foster collaborative relationships with commercial banks, investment banks, rating agencies, and external consultants to leverage market intelligence and advance strategic opportunities
  • Serve as executive liaison between treasury operations and senior leadership on matters affecting organizational financial strategy and positioning

Organizational Stewardship
  • Act as a member of the Port Houston management team, contributing to the development and execution of the Strategic Plan and enterprise initiatives
  • Ensure departmental budgets are managed effectively; allocate resources efficiently to support operational excellence and strategic priorities
  • Champion organizational commitment to financial transparency, including compliance with the Transparency Stars Program and proactive communication of financial performance
  • Uphold Port Houston core values (respect, excellence, accountability, diligence, and you) in all treasury activities and team interactions
  • Perform related duties as required by senior management

Education/Experience:
  • Bachelor's degree from a public or accredited private academic institution required, with a major in Business Administration, Finance, Economics, or related field preferred
  • Master's degree or MBA strongly preferred
  • 8+ years of progressive financial and treasury management experience required, including demonstrated expertise in treasury technology, financial analysis, or capital markets
  • Supervisory and/or executive leadership experience required
  • Demonstrated experience with enterprise treasury platforms (e.g., Kyriba, Broadridge, GTreasury) preferred
  • Experience with financial forecasting models, data analytics platforms, and business intelligence tools preferred
  • Public sector, municipal finance, or port authority experience a plus

Knowledge, Skills, Abilities and Behaviors:
Technical & Financial Knowledge
  • Advanced knowledge of treasury and capital markets functions, including debt management, liquidity optimization, cash management, banking services, and investment management
  • Advanced knowledge of financial risk management principles and practices
  • Comprehensive knowledge of debt instruments, investment vehicles, capital structure optimization, and both traditional and innovative financing approaches
  • Knowledge of pension and benefit plan administration, fiduciary requirements, and regulatory compliance
  • Knowledge of business intelligence tools, data analytics, predictive modeling, and financial forecasting methodologies

Technology & Analytics Competencies
  • Advanced proficiency with enterprise treasury platforms and demonstrated ability to optimize system functionality and drive user adoption
  • Strong data literacy and ability to interpret complex analytical outputs and translate them into business insights
  • Experience designing and implementing financial dashboards, analytics frameworks, and reporting solutions
  • Ability to define technology requirements and partner with IT and vendors on system implementations and enhancements
  • Understanding of cybersecurity, data governance, and compliance requirements as they relate to financial systems and sensitive data

Leadership & Management Skills
  • Exceptional leadership and team development capabilities; ability to build, motivate, and retain high-performing teams
  • Strategic thinking and long-term planning abilities; capacity to envision future treasury capabilities and roadmaps
  • Excellent critical thinking, problem-solving, and strategic decision-making skills
  • Strong project management and change management capabilities
  • Ability to establish and maintain effective working relationships across organizational levels and with external stakeholders

Communication & Analytical Abilities
  • Advanced written and verbal communication skills, including ability to create executive presentations and translate complex financial information for diverse audiences
  • Strong financial analysis and modeling capabilities
  • Ability to synthesize large datasets and complex information into clear, actionable recommendations
  • Excellent presentation and stakeholder engagement skills
  • Ability to negotiate and interpret complex legal agreements and debt documentation

Personal Attributes & Behaviors
  • High level of attention to detail and commitment to financial accuracy and compliance
  • Ability to work strategically and independently while managing multiple complex initiatives
  • Strong organizational, prioritization, and time management skills
  • Commitment to professional development and staying current with treasury industry trends and best practices
  • Demonstrated integrity, sound judgment, and adherence to ethical standards
  • Ability to foster collaborative relationships and work effectively across departmental and organizational boundaries

Key Competencies Required:
  • Ability to Conceptualize
  • Commitment to Action
  • Composure Under Stress
  • Effective Communication

This work site location of this job is:
Port Houston Administration Building
Work Environment:
The work environment characteristics described here are representative of those an employee encounters while performing the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions. The noise level in the work environment is usually moderate, but