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Remote Treasurer Jobs in Texas (NOW HIRING)

The Treasurer & Finance Operations is a strategic finance leader responsible for building and leading a modern treasury function that supports a growing global organization. Reporting to the ...

The Senior Treasury Analyst is responsible for supporting the organization's global cash and ... This role is remote, but we would prefer someone in Charlotte, Dallas, Birmingham, New York ...

HedgeServ supports employees through a variety of offerings, including remote and hybrid working ... The Treasury Manager is responsible for overseeing treasury operations for our hedge fund and ...

Bank Report distribution Our role is primarily remote except for once a month meetings in the office. Job Qualifications: What you will bring: * 3+ years Treasury related experience * High School ...

Tax & Treasury IT Manager

Austin, TX · Remote

$188K - $230K/yr

Tax & Treasury IT Manager Collaborate with Innovative 3Mers Around the World Choosing where to start and grow your career has a major impact on your professional and personal life, so it's equally ...

Treasury Associate

Houston, TX · On-site +1

$45K - $60K/yr

Treasury Associate FSG is the opportunity to learn and experience the finance industry for a people ... remote work company, but some of the training for this role may be best delivered in-person ...

HedgeServ supports employees through a variety of offerings, including remote and hybrid working ... The Treasury Supervisorfocuseson traditional collateral management responsibilities such as margin ...

Product Manager Sr.

Dallas, TX · On-site +1

$70K - $140K/yr

The Treasury Management Fraud Prevention Product Management team is seeking a strategic, market ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

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Remote Treasurer information

What does a remote treasurer do?

A Remote Treasurer is responsible for managing a company's financial assets, overseeing cash flow, budgeting, and ensuring accurate financial reporting, all while working remotely. They typically handle banking relationships, develop financial strategies, and ensure compliance with financial regulations. Remote Treasurers use digital tools to collaborate with team members and maintain secure financial records, making it possible to perform their duties from any location. Their role is essential in maintaining an organization’s financial health and supporting strategic decision-making.

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

To thrive as a Remote Treasurer, you need strong financial management skills, attention to detail, and a background in accounting or finance, often supported by relevant degrees or certifications like CPA or CFA. Familiarity with financial software such as QuickBooks, Excel, and cloud-based accounting systems is typically required. Excellent organizational skills, integrity, and effective virtual communication set top performers apart in this role. These skills are essential to ensure accurate financial oversight, maintain transparency, and build trust while working remotely.

What are some common challenges faced by remote treasurers in managing cash flow across different locations?

Remote treasurers often face challenges such as coordinating with global finance teams across multiple time zones, ensuring real-time visibility of cash balances, and managing currency risks. Communication and collaboration are key, as remote treasurers regularly interact with various departments and banking partners to forecast cash needs and optimize liquidity. Using secure, cloud-based treasury management systems can help streamline processes and maintain compliance with organizational policies.

What is the difference between Remote Treasurer vs Remote Bookkeeper?

AspectRemote TreasurerRemote Bookkeeper
CredentialsFinance or accounting degree, certifications like CPA or CFA often preferredBasic accounting knowledge, bookkeeping certifications optional
Work EnvironmentStrategic financial planning, managing investments, overseeing financial policiesRecording transactions, maintaining financial records, reconciling accounts
Employer & Industry UsageNonprofits, corporations, financial institutionsSmall businesses, accounting firms, freelance clients
Common Search & ComparisonYesYes

The main difference between a Remote Treasurer and a Remote Bookkeeper lies in their responsibilities and required credentials. Treasurers focus on strategic financial management, investments, and financial planning, often requiring advanced degrees and certifications. Bookkeepers handle day-to-day transaction recording and account reconciliation, typically needing basic accounting skills. Both roles are essential in financial operations but serve different functions within organizations.

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

The most popular types of Treasurer jobs in Texas are:

What cities in Texas are hiring for Remote Treasurer jobs?

Cities in Texas with the most Remote Treasurer job openings:

Treasurer & Finance Operations

Rimkus

Houston, TX • On-site, Remote

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Re-posted 8 days ago


Job description

Join Rimkus and unlock your potential with endless opportunities for growth, learning, and making a difference!
Rimkus ( is a worldwide leader in Engineering and Technical Consulting. Rimkus experts specialize in building envelope, engineering, forensic consulting, dispute resolution, construction management services, and solutions built for the environment.
NOW IS THE TIME to join this growing and stable company! We offer our full-time employees a competitive salary, bonus opportunities and a full benefits package that includes medical, dental, vision, life, disability, employer-matching 401(k), and opportunities for advancement!
The Treasurer & Finance Operations is a strategic finance leader responsible for building and leading a modern treasury function that supports a growing global organization. Reporting to the Corporate Controller, this role is responsible for the Company's global liquidity strategy, banking relationships, debt administration, treasury operations, finance infrastructure, and treasury technology roadmap while serving as a key business partner to Accounting, FP&A, Tax, IT, and Executive Leadership.
This is a highly visible leadership role for someone who enjoys solving complex business challenges, building scalable processes, and leveraging technology to transform how Finance operates. Success in this position requires both strategic thinking and operational excellence-someone equally comfortable discussing capital allocation and financial risk with executive leadership as they are strengthening treasury controls, leading ERP and banking integrations, driving AI and automation initiatives, or partnering with Accounting during the monthly close.
This is not a traditional treasury role focused solely on cash positioning or moving funds between bank accounts. The successful candidate will shape treasury strategy, optimize global liquidity, modernize systems and processes, strengthen financial controls, improve decision-making through data and technology, and help build a best-in-class global Finance organization.
The ideal candidate possesses a strong sense of ownership, intellectual curiosity, and a continuous improvement mindset. They proactively identify opportunities to simplify processes, automate manual activities, implement emerging technologies, and deliver scalable solutions that create lasting value across the enterprise.
Requirements
Treasury Strategy & Liquidity Management
• Develop global treasury strategy.
• Lead cash forecasting and liquidity planning.
• Optimize working capital and global cash deployment.
• Develop treasury dashboards.
• Support acquisitions and strategic initiatives.
Debt Administration & Capital Management
• Administer debt facilities.
• Prepare covenant calculations and compliance reporting.
• Manage lender relationships.
• Evaluate refinancing opportunities.
Global Cash Management & Banking
• Manage domestic and international cash.
• Partner with Tax on cross-border cash movements.
• Rationalize bank accounts.
• Lead banking relationships.
• Oversee treasury governance.
Treasury Operations
• Manage treasury operations and corporate card programs.
• Maintain treasury policies and procedures.
• Continuously improve treasury processes.
Accounting Partnership & Financial Controls
• Oversee bank reconciliations.
• Support month-end close.
• Strengthen treasury controls.
• Support audits.
Risk Management
• Evaluate FX exposure.
• Assess banking and credit risk.
• Support treasury risk management.
Finance Systems & Transformation
• Lead ERP treasury workstreams.
• Lead bank integrations and payment automation.
• Improve treasury technology and workflows.
Artificial Intelligence, Automation & Innovation
• Champion AI and automation across Finance.
• Identify AI opportunities for forecasting, reconciliations, reporting, and decision support.
• Lead implementation of AI-enabled solutions.
• Promote continuous improvement and automation.
• Establish responsible AI governance.
Finance Systems Security & Governance
• Evaluate user roles and segregation of duties.
• Partner with IT on financial systems governance.
Cross-Functional Leadership
• Partner across Accounting, FP&A, Tax, IT, Legal, HR, and Operations.
• Lead finance transformation initiatives.
• Advise leadership on liquidity, banking, and finance operations.
Qualifications
Education
• Bachelor's degree in Finance, Accounting, Economics, or related discipline required.
• MBA, CPA, CFA, CTP, or equivalent certification preferred.
Professional Experience
• 8-12+ years in Treasury, Finance, Accounting, or FP&A.
• Experience with cash forecasting, banking, debt administration, and liquidity management.
• Experience with multinational treasury operations.
• Experience leading ERP or finance transformation initiatives.
• Experience with automation or AI-enabled finance solutions preferred.
• Private equity-backed or high-growth company experience preferred.
Knowledge, Skills & Competencies
• Strategic mindset with operational excellence.
• Strong analytical, modeling, and forecasting skills.
• Deep treasury and banking expertise.
• ERP and treasury technology experience.
• Executive communication skills.
• High ownership and continuous improvement mindset.
Why Join Us
This is an opportunity to build and modernize a global treasury function while leading finance transformation, automation, and AI initiatives that will shape the future of the Finance organization.
Benefits
  • Health Care Plan (Medical, Dental & Vision)
  • Retirement Plan (401k, IRA)
  • Life Insurance (Basic, Voluntary & AD&D)
  • Paid Time Off (Vacation, Sick & Public Holidays)
  • Family Leave (Maternity, Paternity)
  • Short Term & Long Term Disability
  • Training & Development
  • Work From Home