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Treasury & Finance Operations Analyst

Job in Houston, Harris County, Texas, 77246, USA
Listing for: KPM Property Management
Full Time position
Listed on 2026-06-19
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Reporting, Financial Compliance
Salary/Wage Range or Industry Benchmark: 80000 - 100000 USD Yearly USD 80000.00 100000.00 YEAR
Job Description & How to Apply Below

Role Overview

We are looking for a detail-oriented and financially sharp Treasury & Finance Operations Analyst to own daily treasury, cash, and finance operations across a multi-entity real estate portfolio. This role sits at the intersection of cash management, payment operations, banking administration, and financial reporting — and requires someone highly organized, sound in judgment, and able to serve as a reliable bridge between leadership, banking partners, an offshore accounting team, external deal partners, and vendors.

The right person is the operational backbone of the finance function{{:}} trusted to keep the cash picture accurate, payments moving correctly, entities in good standing, and nothing falling through the cracks.

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Key Responsibilities
  • Treasury & Cash Management
    • Maintain a real-time view of available funds, deposits, float timing, and balances across all entities
    • Coordinate intercompany fund movements and loans with proper documentation
    • Execute refunds and account reallocations; confirm completion to relevant parties
    • Obtain funding approvals from leadership before executing material payments
    • Monitor daily liquidity and escalate funding gaps or timing mismatches proactively
  • Payment Execution & Disbursement
    • Initiate payments through banking portals per internal approval workflows
    • Verify wire instructions before execution and send payment confirmations to counter parties
    • Coordinate disbursement timing against funding availability to prevent overdrafts or missed obligations
    • Process OPEX and vendor invoices through the ERP system; follow up on missing approvals or documentation
    • Manage payroll funding for employees and contractors in coordination with HR or external payroll providers
  • Daily Cash Reporting
    • Prepare and distribute daily cash reports to leadership covering balances, inflows, outflows, and net positions
    • Maintain a master cash tracker reflecting actual net cash per account — distinct from bank balances — capturing all ACH, check, wire, and transfer activity
    • Respond to leadership questions on balances and transactions with clarity and accuracy
  • Property & Deal-Level Funding
    • Manage property-level funding requests across the portfolio; track pending vs. completed transfers and communicate status to leadership
    • Flag priority funding needs and gaps with sufficient lead time for leadership to act
    • Build and maintain deal-specific Excel trackers showing sources, uses, and reconciled cash positions; present to stakeholders as needed
  • Accounting Coordination
    • Act as the US-side point of contact for the offshore accounting team, providing bank statements, transaction data, and reporting inputs for reconciliations and financials
    • Pursue missing invoices and documentation to support timely bookkeeping
    • Distribute banking files, debit files, and financial documentation to internal and external stakeholders
    • Support month-end close by ensuring cash activity is accurately reflected and open items are resolved
  • Transaction Validation & Accounting Guidance
    • Review transactions for proper accounting treatment and advise the accounting team on recording, including identifying wash entries and intercompany items
    • Respond to external partners and deal counter parties on accounting and payment questions
  • Banking Administration
    • Open, close, and maintain operating accounts across entities; manage banking documentation and user access
    • Set up and monitor fraud tools including Positive Pay and ACH filters; review and disposition exception items
    • Serve as primary contact for day-to-day bank inquiries and issue resolution
  • Entity Compliance & Tax
    • Coordinate with county and city agencies to maintain entity good standing; set up comptroller portal access and ensure timely tax payments
    • Support preparation and distribution of 1099s across all entities
    • Track compliance and tax deadlines and surface upcoming obligations before they become urgent

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What This Role Is Not

This role requires end-to-end ownership — not someone who waits for direction on routine payments or surfaces funding problems after the fact. The expectation is independent prioritization, early flagging of issues, and a high degree of reliability and discretion.

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Qualifications
  • 3-5…
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