Finance Operations / FP&A & Treasury Analyst

LHH
Austin, Texas Metropolitan Area

Finance Operations / FP&A & Treasury Analyst

Location: Austin, TX (Hybrid)

Employment Type: Full‑Time

About the Role

We are seeking a high‑impact finance professional to join a rapidly growing organization in a hybrid FP&A and Treasury role. This position sits at the center of cash management, forecasting, and capital structure, with meaningful exposure to leadership and cross‑functional partners. The role offers significant opportunity to build, improve, and scale financial processes as the business continues to expand.

This is an ideal opportunity for someone who enjoys both analytical work and hands‑on execution and wants visibility into how capital decisions support growth.

Key Responsibilities

Cash & Liquidity Management

  • Prepare and maintain short‑ and long‑term cash forecasts, including sources and uses of cash
  • Monitor liquidity and proactively identify risks and opportunities
  • Analyze forecast variances and communicate insights to finance leadership

Debt & Compliance

  • Track and manage debt compliance, including covenant calculations and reporting
  • Coordinate with lenders and internal stakeholders to ensure timely, accurate compliance
  • Support interest, principal, and financing activity across entities

Joint Ventures & Capital Calls

  • Prepare and manage capital calls across multiple joint ventures
  • Track funding requirements, contributions, and distributions
  • Ensure alignment with JV agreements and supporting documentation

FP&A & Strategic Support

  • Partner with Business Development, Engineering, and Finance leadership on forecasting assumptions, project timing, and investment analysis
  • Support budgeting, scenario modeling, and decision‑support analyses
  • Provide clear, actionable financial insights to leadership

Process Improvement & Scaling

  • Build and improve forecasting, treasury, and reporting processes
  • Identify inefficiencies and implement scalable solutions
  • Help mature finance operations in a fast‑growing environment

Qualifications

  • Bachelor’s degree in Finance, Accounting, or related field
  • 3-6+ years of experience in FP&A, treasury, finance operations, or related roles
  • Strong experience with cash forecasting and financial modeling
  • Exposure to debt compliance, capital structures, or joint ventures preferred
  • Advanced Excel skills; experience with financial systems and ERPs a plus
  • Strong communication skills and ability to partner cross‑functionally
  • Builder mindset with comfort operating in a dynamic, evolving organization

Why This Role

  • Hybrid role blending FP&A and treasury
  • High visibility with finance leadership
  • Direct involvement in growth, capital strategy, and process build‑out
  • Opportunity to make a measurable impact in a rapidly expanding organization

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