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Caturus, a Houston-based finance-focused company, seeks a Treasury Analyst to support cash management, liquidity forecasting, and debt administration within the treasury function. This early-career role offers exposure to senior treasury leadership and cross-functional collaboration across Accounting, FP&A, and Legal.
The position emphasizes day-to-day cash management, banking operations, risk controls, and reporting, with opportunities to contribute to process improvements in a PE-backed energy
Location: US TX Houston - Corporate Office
Department: Finance
Location: US TX Houston - Corporate Office
The Caturus platform founded by Kimmeridge – an alternative asset manager focused on the energy sector – supports Kimmeridge’s overarching goal of providing low-cost energy on demand with the lowest carbon footprint.
Kimmeridge’s vision in creating Caturus is to build the only independent, fully integrated natural gas and LNG export platform in the U.S. through a combination of its upstream operations and via Commonwealth LNG, a 9.5 million tonnes per annum liquefied natural gas export terminal in southwestern Louisiana on the U.S. Gulf Coast. The combined entities are committed to delivering responsibly sourced, low-emission fuel to domestic and international markets.
Caturus is a Houston-based, private exploration and production company seeking to materially grow production through development of deep, high pressure, dry gas windows of the Eagle Ford and Austin Chalk, as well as Haynesville formations located in Texas and Louisiana while maintaining a relentless focus on safety.
Commonwealth LNG was founded by industry veterans who decided to re-engineer the LNG construction model. Using proven best practices, Commonwealth is committed to building a world-class LNG export facility while focusing on safety, managing risk and achieving best-in-class environmental standards.
Position Summary: The Treasury Analyst supports the day-to-day operations of the Treasury function, including cash management, banking operations, liquidity forecasting, and debt administration. This is an excellent opportunity for an early-career finance professional to build foundational treasury skills within a growing, PE-backed energy platform with upstream, midstream, and LNG operations. The role offers direct exposure to senior Treasury leadership and cross-functional visibility across Accounting, FP&A, and Legal.
Cash Management & Liquidity
Banking Operations
Debt Support
Risk & Controls
Reporting & Special Projects
Education, Certificates, and Licenses:
Experience:
Knowledge, Skills, and Abilities:
Preferred: