Manager, Treasury

Caturus Management Services, LLC

$125K — $150K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field; advanced degree preferred
  • CTP or relevant professional certification preferred
  • 10+ years of treasury or compliance experience required
  • Oil & Gas experience required; LNG experience strongly preferred
  • Strong analytical, problem-solving, and detail-oriented skills

Responsibilities

  • Develop and maintain treasury policies and internal controls
  • Partner with Project Finance to align cash flow with construction schedules
  • Oversee treasury support for debt draws and lender reporting
  • Lead monitoring of interest rate and FX hedges
  • Align liquidity forecasts with budgeting and scenario modeling
  • Manage daily and long-term cash activities to ensure adequate liquidity
  • Deliver treasury reports and analyses to senior management

Benefits

  • Comprehensive health and wellness plans
  • Retirement savings options with company match
  • Professional development opportunities
  • Flexible work arrangements
  • Opportunities to work on major LNG projects
Full Job Description
Manager, Treasury

Department: Finance

Employment Type: Full Time

Location: US TX Houston - Corporate Office

Job Description

This role manages cash management, debt compliance, financial risk mitigation, and banking relationships, providing strategic support to executive leadership and partnering closely with FP&A, Accounting, Project Finance, and external financial stakeholders while reporting directly to the VP of Finance in Houston, TX.

Key Accountabilities:
  • Develop and maintain treasury policies, internal controls, and standardized processes to support accurate, compliant, and efficient treasury operations.
  • Partner with Project Finance team to align cash flow projections with construction schedules, milestone payments, and financing obligations. •
  • Oversee treasury support for debt draws, equity contributions, and lender reporting tied to major LNG project phases.
  • Lead management and ongoing monitoring of interest rate and FX hedges in support of the business.
  • Work closely with FP&A to align liquidity forecasts with budgeting, long range planning, and scenario modeling.
  • Lead daily and long-term cash management activities, ensuring accurate forecasting and adequate liquidity to support construction, operations, and financing needs.
  • Deliver treasury reports, dashboards, and analyses to senior management.
  • Provide insights that enhance financial planning, capital allocation, and long-term strategic decision making.

Qualifications:
Education, Certificates, and Licenses:
  • Bachelor's degree in Accounting, Finance, or a related field. Advanced degree preferred.
  • CTP or other relevant professional certification preferred.

Experience:
  • 10+ years of experience in treasury or compliance required.
  • Oil & Gas experience required, LNG experience strongly preferred.

Knowledge, Skills, and Abilities:
  • Presentable to executive leadership with the ability to speak extemporaneously about familiar topics.
  • Familiarity with the energy industry, industry themes, trends and drivers of LNG sector. Preference for some direct LNG experience.
  • Strong analytical and problem-solving abilities, with a propensity for attention to detail and ability to work in a time-conscious and time effective manner.
  • Effective communication skills, both verbal and written, with the ability to articulate complex concepts to stakeholders at various levels within and external to the organization.
  • Provide clear direction, priorities, and expectations to team members to ensure alignment and accountability.
  • Demonstrated ability to operate in a fast-moving environment and manage complex treasury compliance frameworks.
  • Strong expertise in cash forecasting, debt instruments, financial analysis, and treasury systems.

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