Location - Irving, TX - Hybrid - 3 days in office, 2 remote
Celanese is seeking a Senior Treasury Analyst to join our Capital Markets team. This role supports the company’s funding, liquidity, and balance sheet strategy through capital markets execution, financial modeling, debt portfolio management, and treasury reporting. The position partners closely with Treasury, FP&A, Accounting, Tax, Legal, and external banking partners to deliver high-quality analysis and execution support for debt and capital markets activities.
Responsibilities:
Capital Markets & Debt Management
Assist in executing capital markets transactions, including debt issuances and refinancing, swap transactions, through financial modeling, preparation of presentation materials, and coordination with internal and external stakeholders.
Support ongoing debt portfolio management by assisting with KYC requirements, audits, compliance reporting, and recurring monthly reporting activities.
Financial Modeling
Maintain and enhance treasury models used for interest expense forecasting, liquidity planning and scenario analysis.
Evaluate and validate credit rating agency models on a quarterly basis to ensure alignment with the company’s credit rating strategy.
Partner with FP&A, Accounting, Tax, Legal, and business teams to gather inputs, validate assumptions, and improve forecast accuracy and reporting quality.
Reporting & Month‑End Close
Support month‑end and quarter‑end close processes for treasury, including debt valuation reports, treasury support packages, journal entry preparation/backup and account reconciliations in collaboration with Accounting.
Prepared board-level and executive presentation materials, including rating agency decks and market updates.
Enhanced treasury reporting processes to improve data accuracy and deliver actionable insights.
Compliance & Controls
Support SOX compliance requirements and respond to internal and external audit requests, including securitization audits, with accurate and timely documentation.
Prepare and maintain treasury compliance reports and ensure adherence to internal controls, policies, and regulatory requirements.
Qualifications:
Bachelor’s degree in Finance, Accounting, Economics, or a related field required; Master’s degree preferred.
2–3 years of experience in corporate treasury, capital markets, corporate finance, banking, or FP&A, with direct exposure to financial modeling and reporting.
Strong financial modeling capabilities: advanced Excel skills required. Experience with SAP is a plus.
Solid understanding of debt instruments, interest calculations, and basic covenant structures.
Excellent communication skills with the ability to manage multiple priorities and deadlines effectively.
Numbers & Facts
Location
Irving, Texas
Job Type
Full-time
Skills
Accountingunmatched
Accounting Closeunmatched
Analysis Skillsunmatched
Balance Sheetunmatched
Banking Servicesunmatched
Capital Marketsunmatched
Communication Skillsunmatched
Corporate Bankingunmatched
Corporate Financeunmatched
Credit Riskunmatched
Data Processingunmatched
Data Qualityunmatched
Debt Managementunmatched
Documentationunmatched
Economicsunmatched
External Auditunmatched
Financeunmatched
Financial Modelingunmatched
Financial Planning and Analysis (FP&A)unmatched
Financial Reportingunmatched
Forecastingunmatched
Fundingunmatched
Internal Auditunmatched
Investment Managementunmatched
Journal Entriesunmatched
Know Your Customer (KYC)unmatched
Legalunmatched
Liquidityunmatched
Maintain Complianceunmatched
Multitaskingunmatched
Presentation/Verbal Skillsunmatched
Process Improvementunmatched
Reconciliationunmatched
Regulatory Complianceunmatched
Regulatory Requirementsunmatched
SAPunmatched
Sarbanes-Oxley Act (SOX)unmatched
Tax Accountingunmatched
Time Managementunmatched
Treasuryunmatched
Treasury Managementunmatched
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