Treasurer & Finance Operations

CFA Institute

Houston (TX)

On-site

USD 180,000 - 260,000

Full time

14 days+

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Benefits offered by this job

Health Care Plan
Retirement Plan (401k)
Life Insurance
Paid Time Off
Family Leave
Disability
Training & Development
Work From Home

Job summary

Rimkus is seeking a strategic Treasurer & Finance Operations leader to build a modern treasury function that supports a global organization. You will own liquidity strategy, debt administration, banking relationships, ERP integrations, and treasury technology modernization.

The ideal candidate has 8–12+ years in treasury, FP&A, or related fields, with proven leadership, deep analytical skills, and experience guiding cross‑functional partners in Accounting, Tax, IT, and Legal.

Qualifications

  • Bachelor's degree in Finance, Economics, or related field.
  • MBA, CPA, CFA, or equivalent certification preferred.
  • 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.

Responsibilities

  • Develop global treasury strategy and liquidity framework.
  • Lead cash forecasting and liquidity planning.
  • Optimize working capital and global cash deployment.
  • Develop treasury dashboards for executives and teams.
  • Support acquisitions and strategic initiatives.
  • Administer debt facilities and covenant reporting.
  • Manage lender relationships and funding strategies.
  • Lead banking relationships and treasury governance.
  • Oversee treasury operations, policies and controls.
  • Champion AI, automation and treasury tech modernization.

Skills

Treasury strategy
Liquidity management
Debt administration
ERP systems
Treasury dashboards
AI & automation
Executive communication
Financial controls

Education

Bachelor's degree in Finance
MBA/CPA/CFA preferred

Tools

ERP treasury workstreams
Banking integrations
Treasury management systems

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
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