Position Overview
Description We are looking for a Treasury Accountant to support cash strategy, debt administration, and treasury operations for a manufacturing organization in Midland, Texas. This position plays a key role in maintaining liquidity visibility, strengthening financial controls, and ensuring accurate reporting to internal stakeholders and lending partners. The ideal candidate brings strong analytical judgment, leadership capability, and a practical approach to improving treasury processes in a fast-paced environment.
Responsibilities:
β’ Manage daily visibility into cash balances across business entities and make sure funding needs are addressed in a timely manner.
β’ Build and update near-term and long-range projections related to cash flow and debt obligations to support financial planning.
β’ Coordinate borrowing and repayment activity while tracking interest costs and maintaining accurate debt records.
β’ Administer treasury-related banking activities, including supp...