Walker Elliott · 4 days ago
Treasury Manager
Walker Elliott is working with a well-established upstream oil & gas company seeking a Treasury Manager to oversee cash management, financing activities, and financial risk management. This role works closely with executive leadership to support the company’s capital structure, liquidity planning, and growth strategy.
Responsibilities
Lead day-to-day treasury activities including cash positioning, forecasting, and banking coordination
Administer the company's reserve-based lending facility and ensure ongoing compliance and reporting
Support and manage commodity and interest rate hedging activities
Maintain strong relationships with banks, lenders, and financial counterparties
Oversee insurance, credit exposure monitoring, and other financial risk programs
Provide regular updates and strategic insight to senior leadership
Drive improvements to treasury processes, controls, and systems
Manage and develop treasury staff and support cross-functional finance initiatives
Qualification
Required
10+ years of experience in treasury or corporate finance, including upstream oil & gas
Prior leadership or team management experience
Strong background in cash flow forecasting, liquidity management, and credit facilities
Experience with hedging programs and counterparty risk oversight
Ability to partner effectively with executive leadership
Bachelor's degree in Finance, Accounting, or related field required