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Internship Export Analyst Jobs in Texas (NOW HIRING)

... Internship program. In addition to technical acumen, we highly value leadership skills as we ... Excellent analytical and problem-solving skills * Ability to work with export-controlled technology ...

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Internship Export Analyst information

What is an internship export analyst?

An Internship Export Analyst is a temporary, entry-level position typically designed for students or recent graduates interested in international trade and logistics. The role involves assisting with export operations, analyzing data related to shipments, ensuring compliance with regulations, and supporting documentation processes. Interns may also help coordinate with freight forwarders, customs, and internal teams to facilitate smooth export transactions. This position provides valuable hands-on experience in export procedures and global supply chain management.

What does an internship export analyst do?

As an Internship Export Analyst, you can expect to support the export team by assisting with market research, preparing shipping and customs documentation, and analyzing international sales data. You’ll likely collaborate with logistics, sales, and compliance teams to ensure smooth export operations and adherence to regulations. Interns often help identify new markets, track shipment progress, and update internal databases, giving you exposure to the full export process while building practical skills for a career in international trade.

What skills and qualifications are needed to thrive as an internship export analyst?

To thrive as an Internship Export Analyst, you need a solid understanding of international trade principles, data analysis, and proficiency in business or economics, often supported by relevant coursework or a degree in these fields. Familiarity with export documentation, ERP systems, and tools like Microsoft Excel are commonly expected. Strong organizational skills, attention to detail, and effective communication are crucial soft skills for this role. These competencies are important for ensuring accurate export processes, compliance with regulations, and effective coordination with global partners.

What is the difference between Internship Export Analyst vs Export Analyst?

AspectInternship Export AnalystExport Analyst
Required CredentialsTypically pursuing or recent graduate, some internships may require coursework in international trade or businessBachelor's degree in business, international trade, or related field; experience preferred
Work EnvironmentInternship setting, often part-time or temporary, supervised by senior staffFull-time professional role within logistics, supply chain, or trading companies
Employer & Industry UsageUsed by companies offering training programs in export/import operationsCommon in logistics, manufacturing, and trading industries

The Internship Export Analyst is an entry-level, temporary position designed for students or recent graduates gaining industry experience. In contrast, the Export Analyst is a full-time professional role requiring more experience and responsibility. Both roles focus on export processes, but the internship provides foundational exposure, while the analyst position involves active decision-making and operational duties.

What are the most commonly searched types of Export Analyst jobs in Texas?

The most popular types of Export Analyst jobs in Texas are:

What cities in Texas are hiring for Internship Export Analyst jobs?

Cities in Texas with the most Internship Export Analyst job openings:

Full-time

Posted 12 days ago


Job description

Treasury Analyst
Department: Finance
Employment Type: Full Time
Location: US TX Houston - Corporate Office
Description
About Us:
The Caturus platform founded by Kimmeridge - an alternative asset manager focused on the energy sector - supports Kimmeridge's overarching goal of providing low-cost energy on demand with the lowest carbon footprint.
Kimmeridge's vision in creating Caturus is to build the only independent, fully integrated natural gas and LNG export platform in the U.S. through a combination of its upstream operations and via Commonwealth LNG, a 9.5 million tonnes per annum liquefied natural gas export terminal in southwestern Louisiana on the U.S. Gulf Coast. The combined entities are committed to delivering responsibly sourced, low-emission fuel to domestic and international markets.
Caturus is a Houston-based, private exploration and production company seeking to materially grow production through development of deep, high pressure, dry gas windows of the Eagle Ford and Austin Chalk, as well as Haynesville formations located in Texas and Louisiana while maintaining a relentless focus on safety.
Commonwealth LNG was founded by industry veterans who decided to re-engineer the LNG construction model. Using proven best practices, Commonwealth is committed to building a world-class LNG export facility while focusing on safety, managing risk and achieving best-in-class environmental standards.
Job Description
Position Summary:
The Treasury Analyst supports the day-to-day operations of the Treasury function, including cash management, banking operations, liquidity forecasting, and debt administration. This is an excellent opportunity for an early-career finance professional to build foundational treasury skills within a growing, PE-backed energy platform with upstream, midstream, and LNG operations. The role offers direct exposure to senior Treasury leadership and cross-functional visibility across Accounting, FP&A, and Legal.
Key Accountabilities:
Cash Management & Liquidity
  • Prepare and maintain daily cash position reports across all operating accounts.
  • Support short-term cash forecasting (13-week rolling forecast).
  • Monitor bank account balances and initiate wire transfers, ACH, and intercompany fund transfers as needed.
  • Reconcile daily cash activity and investigate variances.
  • Work directly with the accounting team to provide the support needed for entries
  • Ensure all month-end close items are delivered to stakeholders in a timely manner.

Banking Operations
  • Responsible for banking administrative tasks: signer updates and tracking, account opening/closing documentation, KYC documentation requests, etc.
  • Support implementation of treasury management system (TMS).
  • Manage all company check deposits and the positive pay process.
  • Prepare all debt related paperwork required by the bank.
  • Assist with bank fee analysis and account rationalization reviews.

Debt Support
  • Assist in preparation of materials for company reporting on debt balances, interest rates, utilization and other debt metrics as required.
  • Track interest accruals, drawdowns, and repayments on revolving credit facilities and term debt.

Risk & Controls
  • Support execution of treasury-related internal controls including segregation of duties on payment initiation/approval.
  • Assist with counterparty and bank credit risk monitoring.

Reporting & Special Projects
  • Prepare recurring management reports on cash position, liquidity, and debt.
  • Support ad hoc analysis for M&A integration, financing transactions, and process improvement initiatives.
  • Assist with treasury policy documentation and procedure updates.
  • Support vendor credit application processing when required.

Qualifications:
Education, Certificates, and Licenses:
  • Bachelor's degree in Finance, Accounting, Economics, or related field.

Experience:
  • 1-3 years of relevant experience (internships in treasury, banking, corporate finance, or accounting are a plus).

Knowledge, Skills, and Abilities:
  • Strong Excel skills; comfort working with large data sets and building basic financial models.
  • High attention to detail and strong organizational skills; treasury work is deadline-driven and error-intolerant by nature.
  • Strong written and verbal communication skills.
  • Ability to handle sensitive financial and banking information with discretion.

Preferred:
  • Exposure to treasury management systems (e.g., Kyriba, GTreasury) and/or ERP platforms (e.g., SAP).
  • Familiarity with basic corporate finance concepts: working capital, liquidity, debt instruments.
  • Prior internship or coursework in the energy industry.