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Chevron Corp. is seeking an International Cash Repatriation Analyst to support global liquidity optimization within Corporate Treasury.
The role focuses on repatriating cash from international subsidiaries in a tax-efficient and compliant manner, partnering with Treasury, Tax, Legal, and regional finance teams to manage FX and regulatory risks and ensure timely funds availability for strategic initiatives. The position offers opportunities to influence global liquidity strategy, interact with
Chevron is accepting online applications for the role of International Cash Repatriation Analyst for our Corporate Finance & Insurance division within Corporate Treasury, until October 15th, 11.59pm, central time.
The analyst supports global liquidity optimization and corporate financial objectives by contributing expertise in repatriating cash from international subsidiaries in a tax-efficient and compliant manner. This role partners closely with Treasury, Tax, Legal, and regional finance teams to navigate complex regulatory environments, mitigate foreign exchange and tax risks, and ensure timely availability of funds for strategic initiatives. The position provides critical analysis and guidance that directly impacts capital allocation, shareholder returns, and the company’s ability to deploy resources effectively across global markets.
This role offers the opportunity to influence global liquidity strategy and contribute to high-impact initiatives that strengthen the company’s financial position. You’ll collaborate with senior leadership and global teams to deliver solutions that drive efficiency and shareholder value, with opportunities for career growth and advancement.
Chevron Finance seeks an individual with technical skills and leadership potential. The company supports ongoing development and career growth, rewarding strong performance with advancement opportunities.
Successful candidates for this role will demonstrate (1) ability to assess complex global cash positions, evaluate tax and regulatory implications, and provide actionable recommendations that optimize liquidity and minimize risk; (2) a collaborative mindset and proven experience working effectively with internal and external stakeholders; (3) a commitment to ongoing professional development and career growth within the role; and (4) a passion for digital tools to enhance cash repatriation and execution.
Work Schedule: full-time with opportunity to work modified schedules (e.g., “9/80” schedule with alternate Fridays off). Hybrid work schedule with 4 days in office per week with option of remote work on Fridays.
Relocation will be considered.
Expatriates will not be considered.