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Senior Treasury Analyst, Liquidity Management

KBR, Inc

Houston (TX)

Hybrid

USD 70,000 - 110,000

Full time

30+ days ago

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Job summary

An established industry player is seeking a Senior Treasury Analyst to enhance liquidity management and cash optimization. This dynamic role involves advanced cash management activities, including analyzing currency risks, managing cash pool balances, and preparing financial forecasts. You will collaborate with global teams to identify opportunities for maximizing cash availability and reducing financial risks. This innovative firm promotes teamwork and high-quality service while offering a hybrid working model, allowing you to balance office presence with flexibility. If you are passionate about finance and eager to make an impact, this opportunity is for you.

Benefits

401K plan with company match
Medical insurance
Dental insurance
Vision insurance
Life insurance
Flexible spending

Qualifications

  • 3 to 5 years of treasury activities experience required.
  • Strong knowledge of banking rules and financial transactions.

Responsibilities

  • Manage daily cash position and financial forecasts for cash and debt.
  • Analyze FX exposures and maintain records of derivative positions.

Skills

Treasury concepts
Banking rules
Financial derivatives
Treasury software
Microsoft Excel
Project management
Interpersonal skills
Data analysis

Education

4-year Degree in Finance or Accounting
Advanced degree with technical finance training

Tools

Bloomberg
Workiva
Microsoft Word
Microsoft Outlook

Job description

Senior Treasury Analyst, Liquidity Management

KBR — Delivering Solutions, Changing the World.

KBR brings together the best and brightest to deliver science, technology and engineering solutions that help governments and companies around the world accomplish their most critical missions and objectives.

This position within Treasury performs more advanced cash management and banking activities, including determining KBR’s daily cash position, managing cash pool balances, investing, analyzing currency risks, and hedging FX exposures using derivative contracts.

This position reports to the Supervisor, Liquidity Management, Treasury.

Duties and Responsibilities:

  • Compiling KBR’s daily cash position and daily money movements using internal workbooks/models; maintaining programs linked to external banking systems
  • Identifying opportunities to maximize cash availability, and reduce FX volatility, and potentially invest daily cash surpluses
  • Preparing financial forecasts for cash, debt, and other financial matters (e.g. AR factoring, hedging, banking fees) collaborating with KBR Shared Services in Huntsville, Dubai, and Chennai
  • Performing all aspects of Treasury’s FX risk management program including identifying and evaluating FX currency exposures, engaging third parties to purchase derivative contracts, and maintaining records of FX exposures, open derivative positions, and unrealized and realized gains and losses
  • Maintaining records of KBR public / inter-co debt, performing corporate activities related to AR factoring program, tracking /paying interest and principal payments, administration of interest rate hedges, and analytics of KBR borrowing rates and costs
  • Working with business partners and other corporate departments to maximize cash, reduce financial risks, and comply with internal /external banking regulations/standards
  • Analyzing business activities to optimize cash, reduce exposures to currency losses and, mitigate financial risks caused by changing world events
  • Perform periodic bank account analysis to monitor appropriateness of services provided, actual usage and fees paid

Additional, periodic responsibilities include:

  • Performing SOX controls pertaining to the above duties and related reporting requirements
  • Evaluating current processes and work tools to streamline data flows; document work process

Professional Qualifications and Skills:

  • Understanding of treasury concepts/activities, banking rules, and domestic/ foreign networks for financial transactions (such as NACHA, SWIFT, RTGS, CHIPS, BACS)
  • Familiarity with financial derivatives, ISDA, domestic markets trading derivative contracts
  • Experience with treasury software and other banking services, such as Bloomberg
  • Prior experience with treasury software; office technology literacy, including but not limited to Workiva, Microsoft Excel, Word, and Outlook
  • Capable of analyzing data, evaluating and distinguishing relevant facts, and using judgement / logic to arrive at effective solutions
  • Strong interpersonal skills in an environment emphasizing teamwork, high-quality service, and collaboration
  • Demonstrated project management skills and leadership roles in directing others
  • Experience with project management
  • Able to communicate effectively orally and in writing
  • 4-year Degree in Finance or Accounting
  • 3 to 5 years prior experience with treasury activities
  • Advanced degree with technical finance training preferred

Working Model: HYBRID (3 to 4 days in office required)

Primary Location: USA-TX-HOUSTON

Organization: FINANCE AND TREASURER

KBR Benefits

KBR offers a selection of competitive lifestyle benefits which could include 401K plan with company match, medical, dental, vision, life insurance, AD&D, flexible spending

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