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Search Services in North Houston is seeking a hands-on Treasury Manager to lead the treasury function, reporting to the CFO. You will own cash forecasting, liquidity management, banking relations, debt administration, and working capital optimization in a hybrid environment.
The role partners with Finance, Accounting, AR/AP, Commercial, and Operations to improve forecasting accuracy, monitor cash flow drivers, and strengthen capital efficiency.
Location: North Houston Schedule: Hybrid Status: Immediate Hiring Need
A growing organization in North Houston is seeking a hands‑on Treasury Manager to lead the company’s treasury function and report directly to the CFO. This is a highly visible role with responsibility for cash forecasting, liquidity management, banking, debt administration, working capital analysis, and treasury process improvement. A key priority will be building and maintaining a reliable, forward‑looking cash forecast and providing executive leadership with clear visibility into liquidity, cash requirements, and funding needs. The Treasury Manager will partner closely with Finance, Accounting, Accounts Receivable, Accounts Payable, Commercial, and Operations to understand cash flow drivers, improve forecasting accuracy, and identify opportunities to strengthen working capital performance.
This is an excellent opportunity for someone who enjoys a hands‑on treasury role, wants direct exposure to senior leadership, and is comfortable working in a fast‑paced, growing organization.