What are the responsibilities and job description for the Treasury Manager position at Partnership Employment?
Partnership Employment is currently partnered with a prominent upstream oil and gas company that is seeking a Treasury Manager with upstream experience to join their team.
Role Overview:
Seeking a high-performing Treasury professional to own treasury, liquidity, and financial risk management activities. This role is well suited for:
- An experienced Treasury Manager, or
- A Senior Treasury Analyst ready to step into broader ownership and leadership
The position partners closely with executive leadership and offers high visibility, autonomy, and long-term growth potential.
Key Responsibilities:
Treasury & Liquidity
- Lead cash management, banking relationships, and short-/medium-term cash forecasting
- Administer credit facilities, including compliance reporting and lender coordination
- Support executive leadership with bank reporting, meetings, and credit agreement review
- Monitor counterparty credit exposure and manage guarantees and credit support
- Oversee corporate credit card programs and delegation of authority compliance
Hedging & Financial Risk
- Administer documentation and reporting for commodity and interest rate hedging
- Support mark-to-market reporting, internal controls, and audit requirements
Insurance & Enterprise Risk
- Manage property and casualty insurance programs and annual renewals
- Maintain insurance records, certificates, and claims tracking
- Serve as internal lead for insurance, risk transfer, and loss control initiatives
- Support safety, compliance, and risk mitigation programs in partnership with HR/EHS
Leadership & Process Improvement
- Drive treasury, insurance, and risk management process improvements
- Develop and maintain policies, procedures, and internal controls
- Contribute to finance and planning objectives
- Recruit, mentor, and develop treasury staff (as applicable)
Special Projects
- Support executive leadership with ad hoc analysis and strategic initiatives
Qualifications
Required
- Bachelor’s degree in Finance, Accounting, Economics, or related field
- 8–10 years of progressive treasury or corporate finance experience
- Strong background in: cash flow forecasting and liquidity management, credit facility administration, banking and lender communications, hedging and financial risk management, and the ability to operate independently with strong executive-level communication
- Upstream Oil and Gas experience
Preferred
- Prior people leadership or demonstrated project ownership
- Advanced degree or professional certifications (CTP, CPA, CFA)
- Experience with insurance programs, audits, controls, and policy development