Global Cash Repatriation & Liquidity Analyst - Hybrid
Listed on 2026-10-06
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Finance & Banking
Financial Analyst, Corporate Finance
Chevron is seeking an International Cash Repatriation Analyst to join Corporate Treasury's Corporate Finance & Insurance division. The role focuses on global liquidity optimization, tax-efficient repatriation of cash from international entities, and collaboration with Tax, Legal, and regional finance teams.
Hybrid work with four in-office days per week and remote Fridays; 9/80 schedule may apply. Opportunity to influence liquidity strategy and capital allocation across global markets.
The following opportunity is for a Global Cash Repatriation & Liquidity Analyst
- Hybrid with Oil Authority.
We invite applications for the Global Cash Repatriation & Liquidity Analyst
- Hybrid position located in Houston, TX, United States.
The following opening is for a Global Cash Repatriation & Liquidity Analyst
- Hybrid with Oil Authority.
Our team is growing, and we are hiring a Global Cash Repatriation & Liquidity Analyst
- Hybrid in Houston, TX, United States.
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