• Senior FP&A Analyst |
  • Dallas, Texas, United States, Texas

Treasury & Investment Manager

Treasury & Investment Analytics Manager

Location: Dallas, TX (On-site or Hybrid)

Overview

We are seeking a finance professional with deep experience in cash management, short-term investments, and financial modeling to support liquidity strategy and capital deployment. This role is ideal for someone coming from a corporate treasury function at a large organization with a sizable cash and investment portfolio, or from fixed-income asset / portfolio management with a strong analytical foundation.

This position will play a critical role in managing daily liquidity, optimizing short-term investment returns, and building models that support strategic decision-making.


Key Responsibilities

Cash & Liquidity Management

  • Manage daily cash positioning and short-term liquidity planning

  • Oversee cash forecasting across multiple time horizons

  • Support optimization of working capital and cash deployment strategies

  • Partner with internal stakeholders to anticipate funding needs and timing

Short-Term Investment & Portfolio Support

  • Assist in managing short-term investment portfolios (money market, treasuries, commercial paper, fixed income instruments)

  • Monitor portfolio performance, duration, yield, and risk metrics

  • Support investment policy compliance and reporting

  • Conduct scenario and sensitivity analysis related to interest rate movements and market conditions

Financial Modeling & Analytics

  • Build and maintain cash flow, liquidity, and investment return models

  • Develop models to evaluate alternative investment strategies and capital allocation decisions

  • Support executive-level decision making with clear, data-driven insights

  • Prepare concise analysis and reporting for senior leadership

Cross-Functional Partnership

  • Collaborate with accounting, FP&A, and senior finance leadership

  • Support treasury-related audits, controls, and documentation

  • Contribute to continuous improvement of treasury processes and tools


Target Profile

  • Experience in Corporate Treasury at a large organization with a significant cash and short-term investment portfolio OR

  • Background in Asset Management / Portfolio Management, particularly fixed income

  • Strong financial modeling and analytical skill set

  • Solid understanding of interest rates, yield curves, and fixed-income instruments

  • Comfortable working with large data sets and translating analysis into executive-level insights

  • Advanced Excel required; exposure to treasury management systems a plus


Ideal Experience

  • 5+ years of experience in treasury, investments, or fixed-income portfolio analytics

  • Experience supporting cash pools, investment portfolios, or liquidity strategies at scale

  • Prior exposure to capital markets, banking relationships, or institutional investment frameworks

  • Bachelor’s degree in Finance, Accounting, Economics, or related field (advanced degree or CFA a plus)


Why This Role

  • Opportunity to own and influence cash and investment strategy

  • High visibility with senior finance leadership

  • Blend of hands-on execution and strategic modeling

  • Dallas-based role with access to a strong treasury and finance talent market


Salary $150-200K (DOE)
Medical, Dental, Vision, 401K

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