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Treasury Operations Manager Jobs in Texas (NOW HIRING)

The Treasury Analyst is responsible for overseeing the company's global treasury operations, including cash management, liquidity planning, banking relationships, foreign exchange risk management ...

Manages all financial or compliance risks related to Treasury operations, including SOX and other regulatory compliance as required. * Administers the company's banking and investment accounts ...

Manager of Treasury

Fort Worth, TX · On-site

$120 - $180/hr

Manages all financial or compliance risks related to Treasury operations, including SOX and other regulatory compliance as required. * Administers the company's banking and investment accounts ...

New

Run Treasury Operations at Scale: * Lead Treasury Operations across cash management, payments (wires/ACH), bank account administration, shortterm investments, and daily liquidity positioning.

Manages all financial or compliance risks related to Treasury operations, including SOX and other regulatory compliance as required. * Administers the company's banking and investment accounts ...

Run Treasury Operations at Scale: * Lead Treasury Operations across cash management, payments (wires/ACH), bank account administration, shortterm investments, and daily liquidity positioning.

... treasury strategy for SEA, overseeing cash and liquidity management, FX and risk management ... S. and Canadian operations; ensure efficient pooling, investment decisions, and intercompany loan ...

Advise clients on treasury operations, risk management, and technology practices to improve efficiency, strengthen controls, and support business objectives. * Build and maintain client relationships ...

... cash management reporting and ad hoc analysis. * Prepare interest expense estimates to support forecasting and budgeting processes. * Provide support for day-to-day Treasury operations and ...

Showing results 41-60

Treasury Operations Manager information

See Texas salary details

$46.1K

$98.5K

$140.2K

How much do treasury operations manager jobs pay per year?

As of Aug 8, 2026, the average yearly pay for treasury operations manager in Texas is $98,450.00, according to ZipRecruiter salary data. Most workers in this role earn between $81,100.00 and $113,200.00 per year, depending on experience, location, and employer.

How does a treasury operations manager typically collaborate with other departments within an organization?

A Treasury Operations Manager frequently works with departments such as accounting, finance, and risk management to ensure smooth cash flow, accurate financial reporting, and effective risk mitigation. They coordinate with accounts payable and receivable teams to monitor daily transactions and resolve discrepancies, as well as partner with IT to implement and maintain treasury management systems. Strong cross-functional communication is essential for timely decision-making and for developing strategies to optimize liquidity and manage financial risks. This collaboration is central to maintaining organizational financial health and efficiency.

What does a treasury operations manager do?

A Treasury Operations Manager oversees an organization’s daily cash flow, banking, and liquidity management activities. They are responsible for ensuring that funds are available to meet financial obligations, managing banking relationships, processing payments, and monitoring compliance with internal controls and regulations. Additionally, they may work on forecasting cash needs, optimizing banking structures, and implementing treasury-related technologies. Their role is critical in minimizing financial risk and supporting efficient business operations.

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

To thrive as a Treasury Operations Manager, you need expertise in cash management, financial analysis, and a solid understanding of banking operations, typically supported by a degree in finance or accounting. Familiarity with treasury management systems (TMS), ERP platforms like SAP, and certifications such as CTP (Certified Treasury Professional) are commonly required. Strong analytical thinking, attention to detail, and effective communication are crucial soft skills for this role. These capabilities ensure efficient management of an organization’s liquidity, compliance, and risk, which are vital to maintaining financial stability.
What are the most commonly searched types of Treasury Operations jobs in Texas? The most popular types of Treasury Operations jobs in Texas are:
What job categories do people searching Treasury Operations Manager jobs in Texas look for? The top searched job categories for Treasury Operations Manager jobs in Texas are:
What cities in Texas are hiring for Treasury Operations Manager jobs? Cities in Texas with the most Treasury Operations Manager job openings:
Infographic showing various Treasury Operations Manager job openings in Texas as of August 2026, with employment types broken down into 85% Full Time, 12% Part Time, 1% Temporary, and 2% Contract. Highlights an 94% Physical, 2% Hybrid, and 4% Remote job distribution, with an average salary of $98,450 per year, or $47.3 per hour.

Treasury Analyst

SUBMER

Houston, TX • On-site

Full-time

Medical, Retirement

Re-posted 21 days ago


Job description

Job Title: Treasury Analyst (Bilingual English/Spanish)
Location: Houston, Texas
Department: Finance

About Submer

Submer designs and delivers end-to-end AI datacenter infrastructure built around industry-leading liquid cooling.

We help organizations scale AI beyond the limits of traditional datacenters by enabling higher density, greater efficiency and lower environmental impact - accelerating time-to-AI from first deployment to full production.

What impact you'll have:
The Treasury Analyst is responsible for overseeing the company's global treasury operations, including cash management, liquidity planning, banking relationships, foreign exchange risk management, debt administration, treasury controls, and treasury reporting.
The role ensures that the organization maintains sufficient liquidity to support operations while optimizing cash utilization and minimizing financial risk. This position will also support cash forecasting, budget-related cash planning, budget versus actual analysis, and month-end treasury reporting.
This position works closely with Finance, Accounting, Tax, Legal, HR, and business leaders across multiple regions to support the company's growth strategy and international operations.

What you'll do:
Cash & Liquidity Management
Manage daily cash positions across global entities and bank accounts.
Develop short-term and long-term cash flow forecasts.
Monitor liquidity requirements and ensure sufficient funding for operational needs.
Optimize cash deployment across the organization.
Coordinate intercompany funding and cash transfers.
Support executive leadership with visibility into cash availability, liquidity risks, and funding needs.
Monitor working capital movements and assess the impact on liquidity and cash planning.
Banking & Financial Relationships
Manage relationships with global banking partners.
Lead the opening, maintenance, and rationalization of bank accounts.
Negotiate banking services, fees, and credit facilities.
Coordinate KYC, compliance, and banking documentation requirements.
Ensure banking structures support the needs of the business across multiple entities and jurisdictions.
Maintain proper bank account signatories, access rights, and approval controls.
Foreign Exchange & Risk Management
Monitor foreign currency exposures across international operations.
Develop and implement foreign exchange risk management strategies.
Execute FX transactions and hedging activities where appropriate.
Monitor market conditions and provide recommendations to management.
Support the business in understanding currency exposure and potential financial impact.
Work with Accounting and regional finance teams to ensure FX impacts are properly understood and reported.
Treasury Operations & Controls
Establish and maintain treasury policies, procedures, and controls.
Ensure compliance with internal controls and financial governance requirements.
Manage payment approval processes and treasury-related system controls.
Support internal and external audits.
Identify opportunities to improve treasury processes, reporting, and control discipline.
Ensure appropriate segregation of duties across banking, payments, approvals, and reconciliations.
Debt & Capital Management
Administer debt facilities, loan agreements, and covenant compliance.
Track borrowing requirements and repayment schedules.
Support financing activities and capital raising initiatives.
Assist with investor and lender reporting requirements.
Monitor debt obligations and ensure timely payment of interest, principal, and related fees.
Provide analysis on funding needs, debt capacity, and liquidity implications.
Financial Planning, Cash Forecasting & Reporting
Support the annual budgeting process by partnering with department leaders and finance leadership on cash, working capital, funding, and liquidity assumptions.
Develop and maintain monthly, quarterly, and annual cash forecasts to support liquidity planning and business decision-making.
Analyze budget versus actual performance, with a focus on cash flow, working capital, banking activity, debt, and liquidity impacts.
Prepare month-end treasury and cash reporting for management, highlighting cash position, forecast performance, liquidity trends, and key financial metrics.
Partner with FP&A, Accounting, and business leaders to improve forecast accuracy and visibility into future cash needs.
Provide recommendations to management based on cash trends, forecast variances, and potential liquidity risks.
Support month-end reporting by providing analysis on cash, debt, banking activity, and forecast performance.
Prepare treasury dashboards, KPIs, and reports for executive leadership.
Strategic Finance Support
Support mergers, acquisitions, and corporate restructuring activities.
Assist with international expansion and treasury infrastructure development.
Evaluate treasury technology and process improvement opportunities.
Participate in special projects and strategic initiatives.
Support finance leadership with ad hoc analysis related to liquidity, working capital, financing, and business performance.
Help build scalable treasury processes as the company continues to grow internationally.

What you'll have:

Education
Bachelor's degree in Finance, Accounting, Economics, or related field.
MBA, CFA, CTP, or equivalent qualification preferred.

Experience
10+ years of progressive experience in treasury, corporate finance, banking, cash management, or related finance roles.
Strong experience managing global cash operations, liquidity planning, and banking relationships.
Experience with cash forecasting, working capital analysis, and short-term and long-term liquidity planning.
Experience supporting budget processes through cash, funding, and liquidity assumptions.
Experience analyzing budget versus actual performance, particularly from a cash and liquidity perspective.
Experience preparing management reports, treasury dashboards, and financial performance analysis for senior leadership.
Experience in a multinational or multi-entity organization strongly preferred.
Experience with treasury management systems, banking platforms, and ERP systems.
Require English and Spanish; support Spanish-speaking employees, vendors, customers, and legal advisors.  

Technical Skills
Strong understanding of cash forecasting and liquidity management.
Strong knowledge of treasury operations, banking structures, and payment processes.
Ability to analyze budget versus actual performance and explain key cash-related variances.
Knowledge of foreign exchange markets and hedging strategies.
Familiarity with debt facilities and capital structures.
Advanced Excel and financial modeling skills.
Experience with ERP systems such as Business Central, NetSuite, SAP, Oracle, or similar.
Ability to prepare clear financial reports, dashboards, and executive-level presentations.
Fluent in both English and Spanish (written and verbal).

Competencies
Strong analytical and problem-solving skills.
Excellent attention to detail and financial discipline.
Ability to operate effectively in a fast-paced, high-growth environment.
Strong communication and stakeholder management skills.
Ability to manage multiple priorities across global teams.
Commercial mindset with the ability to connect treasury, cash planning, and business performance.
Proactive, hands-on, and comfortable building structure in an evolving environment.
High level of ownership, confidentiality, and accountability.
Strong judgment when managing sensitive banking, funding, and liquidity matters.

What we offer

Attractive compensation package reflecting your expertise and experience.

Medical Insurance Plan.

401k Employee volunteer contribution Plan.

A great work environment characterized by friendliness, international diversity, flexibility, and a hybrid-friendly approach.

You ll be part of a fast-growing scale-up with a mission to make a positive impact, offering an exciting career evolution.

Our job titles may span more than one job level. The actual base pay is dependent on a number of factors, such as transferable skills, work experience, business needs and market demands.

Our inclusive responsibility

Submer is committed to creating a diverse and inclusive environment and is proud to be an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, genetics, disability, age, veteran status, or any other protected category under applicable law.