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Posted August 22, 2026

Financial and Treasury Analyst

Robert Half
Houston, TX, US Full Time

Job Description

Job Description

Our client, a rapidly growing oilfield services distribution company, is seeking a Financial & Treasury Analyst to join its finance team. This is an excellent opportunity for an analytical professional who enjoys working with large data sets, cash forecasting, treasury operations, and business intelligence to drive strategic decision-making.


Responsibilities

  • Develop and maintain cash flow forecasts, financial models, and budgeting analyses.
  • Monitor liquidity, cash positions, and treasury-related activities.
  • Analyze financial and operational data to identify trends, risks, and business opportunities.
  • Prepare reporting, dashboards, and KPI analysis for management.
  • Partner with finance and operations leaders to support forecasting and strategic planning initiatives.
  • Drive process improvements through automation and advanced Excel tools.


Why Consider This Opportunity?

  • Growing organization with strong momentum and career advancement potential.
  • High-visibility role supporting executive decision-making.
  • Exposure to both treasury and FP& A functions.


Qualifications

  • 4+ years of experience in FP& A, treasury, financial analysis, or data analytics.
  • Strong cash management, forecasting, and treasury experience.
  • Proven ability to identify trends and translate data into actionable business insights.
  • Advanced Excel skills required, including macros, Power Query, complex formulas, and financial modeling.
  • Experience with BI tools, ERP systems, or reporting platforms is a plus.
  • Bachelor's degree in Finance, Accounting, Economics, or a related field.


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