
Treasury Manager (Houston)
Robert Half, Houston, TX, United States
Our client, a professional services firm
with operations across the United States and Canada, is seeking a
Treasury Manager
with a strong blend of
Treasury, FP&A, and strategic finance experience . This is
not a
traditional
treasury role —it’s designed for a versatile finance professional who enjoys operating across functions and is interested in
rotational growth opportunities
over time.
This role will play a critical part in
modernizing and scaling Treasury and Financial Planning & Analysis (FP&A) capabilities
while supporting broader finance transformation initiatives.
The Opportunity
As the firm implements a new ERP system and redesigns key finance processes, the Treasury Manager will help
build scalable treasury operations , improve
cash visibility and forecasting , and
standardize core processes . This position blends
hands‑on execution
with
future‑state design , offering meaningful exposure to strategic planning, systems, and enterprise‑level transformation.
Key Responsibilities
Oversee day‑to‑day treasury activities, including cash positioning, liquidity management, and banking platforms
Drive modernization of treasury processes, tools, and reporting
Partner with FP&A teams to support forecasting, budgeting, and long‑range planning
Improve cash forecasting accuracy and ensure liquidity strategies align with growth initiatives
Support ERP implementation and broader finance transformation efforts
Document and standardize treasury and finance workflows to support scalability
Contribute to the design of future‑state finance systems, analytics, and planning frameworks
Why Join?
Opportunity to
modernize treasury operations
and influence the future of the finance function
Career growth through rotational opportunities
across Treasury, FP&A, and strategic finance
Exposure to ERP implementation and enterprise‑wide transformation initiatives
Collaborative, forward‑thinking environment within a growing professional services organization
High‑visibility role with long‑term upside
Ideal Candidate Profile
7+ years of experience managing
treasury within a broader finance organization
Degree in Finance, Accounting or Economics. An advanced degree or certification is welcome
Exposure to
FP&A, forecasting, and planning processes
Background in
process improvement, systems implementation, or finance transformation
Comfortable operating in both
execution and design —running day‑to‑day activities while building future‑ready capabilities
Adaptable, growth‑oriented mindset with interest in
rotational career paths
(similar to development models at organizations like Chevron or Schlumberger)
Strong communication skills and ability to collaborate across finance and business teams.
with operations across the United States and Canada, is seeking a
Treasury Manager
with a strong blend of
Treasury, FP&A, and strategic finance experience . This is
not a
traditional
treasury role —it’s designed for a versatile finance professional who enjoys operating across functions and is interested in
rotational growth opportunities
over time.
This role will play a critical part in
modernizing and scaling Treasury and Financial Planning & Analysis (FP&A) capabilities
while supporting broader finance transformation initiatives.
The Opportunity
As the firm implements a new ERP system and redesigns key finance processes, the Treasury Manager will help
build scalable treasury operations , improve
cash visibility and forecasting , and
standardize core processes . This position blends
hands‑on execution
with
future‑state design , offering meaningful exposure to strategic planning, systems, and enterprise‑level transformation.
Key Responsibilities
Oversee day‑to‑day treasury activities, including cash positioning, liquidity management, and banking platforms
Drive modernization of treasury processes, tools, and reporting
Partner with FP&A teams to support forecasting, budgeting, and long‑range planning
Improve cash forecasting accuracy and ensure liquidity strategies align with growth initiatives
Support ERP implementation and broader finance transformation efforts
Document and standardize treasury and finance workflows to support scalability
Contribute to the design of future‑state finance systems, analytics, and planning frameworks
Why Join?
Opportunity to
modernize treasury operations
and influence the future of the finance function
Career growth through rotational opportunities
across Treasury, FP&A, and strategic finance
Exposure to ERP implementation and enterprise‑wide transformation initiatives
Collaborative, forward‑thinking environment within a growing professional services organization
High‑visibility role with long‑term upside
Ideal Candidate Profile
7+ years of experience managing
treasury within a broader finance organization
Degree in Finance, Accounting or Economics. An advanced degree or certification is welcome
Exposure to
FP&A, forecasting, and planning processes
Background in
process improvement, systems implementation, or finance transformation
Comfortable operating in both
execution and design —running day‑to‑day activities while building future‑ready capabilities
Adaptable, growth‑oriented mindset with interest in
rotational career paths
(similar to development models at organizations like Chevron or Schlumberger)
Strong communication skills and ability to collaborate across finance and business teams.