Treasury and Risk Manager Job at Texas Petroleum Group

Texas Petroleum Group Houston, TX 77042

Company Overview

Headquartered in Houston, Texas, Texas Petroleum Group (TPG) is a retail fuel company managing retail gas stations in Texas with a variety of commercial constructs. Operating under the Tradename “Timewise” the team has a strong legacy of operating excellence in the Texas market and takes pride in their customer service and bottom-line focus. Recently acquired by Shell, Texas Petroleum group is being operated independently as a wholly owned subsidiary. This ownership change brings ambitions for accelerated growth as well as new regulatory and compliance requirements to be implemented. The company is at a crossroads and entering a phase of significant transformation and growth.

Summary of Key Responsibilities

Responsibilities and essential job functions include but are not limited to the following:

Position: As a newly created position, the Treasury and Risk manager will be responsible for creating and implementing a fit for purpose financial control framework that allows Texas Petroleum Group to remain nimble and efficient while also meeting the regulatory and corporate requirements of Shell. Since cash and controls go hand-in-hand the Treasury manager will also be responsible for understanding the current operations and transforming the cash management and banking practices to ready TPG for ambitious growth.

The successful candidate will have a track record in creating new and being adaptable. This role is transformative in nature and will change rapidly. The incumbent will be an organized self-started that is eager to bring new ideas to the team but also bring others along the change journey.

Job Duties:

· Manage all banking activities

· Working capital forecasting, management and optimization

· Develop, implement and maintain Financial Control Framework for TPG

· Custodian of TPG Corporate control framework (broader than Financial)

· Develop internal assurance plans and coordinate with Shell on preventative audits

· Collaborate with controller to continuously improve end-to-end delivery of core accounting and finance functions

Required experience:

Minimum 2-5 years in corporate finance or Big 4 audit/governance/controls/risk experience or equivalent experience

Experience with cash management and banking

Bachelor’s degree in finance or Accounting

MBA, CPA, CTP preferred

**All applicants may be subject to pre-employment screening.

Job Type: Full-time

Benefits:

  • 401(k)
  • Health insurance
  • Paid time off

Schedule:

  • Monday to Friday

Ability to commute/relocate:

  • Houston, TX 77042: Reliably commute or planning to relocate before starting work (Preferred)

Experience:

  • GAAP: 1 year (Preferred)

Work Location: One location




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