Senior Treasury Analyst

Orion Placement

Richardson, Texas

JOB DETAILS
SALARY
$90,000–$95,000 Per Year
SKILLS
Accounting, Analysis Skills, Banking Services, Capital Markets, Cash Flow, Cash Management, Cash Pooling, Communication Skills, Continuous Improvement, Corporate Finance, Cross-Functional, Customer Relations, Data Analysis, Data Sets, Dental Insurance, Detail Oriented, Documentation, Finance, Financial Analysis, Financial Operations, Financial Planning and Analysis (FP&A), Forecasting, Foreign Exchange (FX) Trading, Funding, International Business, International Finance, Leadership, Liquidity, Maintain Compliance, Management Reporting, Microsoft Excel, Multitasking, Operational Audit, Operational Support, POP (Post Office Protocol), Policy Development, Problem Solving Skills, Process Improvement, Team Player, Time Management, Treasury, Treasury Management, Variance Analysis, Vision Plan
LOCATION
Richardson, Texas
POSTED
9 days ago

Pay: $90,000.00 - $95,000.00 per year

Why This Is a Great Opportunity

  • Play a hands-on role in managing liquidity, cash flow, and capital structure for a complex, global business
  • Gain exposure to senior leadership through high-impact forecasting, reporting, and banking interactions
  • Be part of a treasury function that values ownership, precision, and continuous improvement
  • Opportunity to deepen experience in ABL revolvers, covenant compliance, and multi-currency operations
  • Work in an environment where your analysis directly informs real-time business decisions and outcomes

Location

Richardson, TX — this role is fully on-site, offering close collaboration with finance leadership and cross-functional partners.

Note

This role requires hands-on treasury or corporate finance experience and strong Excel proficiency; candidates without advanced Excel skills or relevant finance background will not be considered.

About Us

We are a global, consumer-focused organization with a strong legacy and an even stronger future. Our finance and treasury teams are trusted partners to the business, known for rigor, collaboration, and thoughtful execution. We value authenticity, accountability, and curiosity, and we believe great results come from empowered people who take ownership of their work. Confidential Employer.

Job Description

  • Support and execute the 13-week cash flow forecast, including variance analysis and scenario modeling
  • Partner with domestic and international finance teams to collect and review cash projections
  • Assist with daily cash positioning, cash movements, and liquidity management activities
  • Monitor cash pools and support intercompany funding and settlements
  • Prepare and support ABL revolver requirements, including borrowing base certificates and audit support
  • Assist with debt covenant monitoring, compliance calculations, and related reporting
  • Execute foreign currency trades under established policies and prepare hedging documentation
  • Compile and analyze financial data for weekly, monthly, and quarterly management reporting
  • Support treasury process improvements, documentation, and policy development
  • Provide day-to-day operational and analytical support for treasury initiatives

Qualifications

  • Bachelor's degree in Finance, Accounting, or a related discipline
  • 3+ years of experience in Treasury, FP&A, Capital Markets, or Corporate Finance
  • Strong Excel skills with the ability to analyze large data sets
  • Experience in a multinational or multi-currency environment is a plus
  • Detail-oriented, deadline-driven, and comfortable managing multiple priorities
  • Clear communicator with strong analytical and problem-solving skills

Why You Will Love Working Here

You will join a collaborative, high-accountability team where your work truly matters. This is a role for someone who enjoys digging into the details, improving processes, and building a strong foundation for long-term growth. You will be trusted, supported, and given room to grow within a respected finance organization.

JPC-1321

Benefits:

  • 401(k)
  • Dental insurance
  • Paid time off
  • Vision insurance

6/30 The focus need to be on Treasury or Cash Management…not accounting

Requirements: Must-have: 3+ years in Treasury, FP, Capital Markets, or corporate finance. Bach degree in finance, accounting or related discipline. Proficiency in Excel

  • Nice to haves:

  • Preferred Years as Associate: 5+

  • Additional context: Relocation- [no]. Packages - [no]

  • Salary Bands (Only if attorney role):

Submission Email: Fernando - fcabrera@fossil.com

Quick Recruiter Reference

On-site Senior Treasury Analyst role supporting liquidity, cash forecasting, ABL revolver, and global treasury operations. Ideal for a hands-on analyst with strong Excel and corporate finance or treasury experience. Reports into treasury leadership and supports daily execution and reporting.

Recruiters Submission: To submit, cancel - Senior Treasury Analyst - Fossil Group - JPC- 1321 - Source

**New Job Order Alert**

  • Client job title: Senior Treasury Analyst

  • Location: Richardson, TX

  • On-site, hybrid, remote: On-site

  • Experience: 3

  • Good fit job titles/keywords for candidates: Senior Treasury Analyst, Treasury Analyst, Corporate Treasury, Liquidity Management, Cash Forecasting, ABL Revolver, Corporate Finance Analyst

  • # of hires needed: 1

  • Open or not to recruiters on TE: NO

  • Job posting strategy (bottom of package details): Sr Analyst, 5+ yrs, Richardson, 121K POP

About the Company

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Orion Placement