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HomeCompaniesHcgi Fa Us2 Oraclecloud Com CX 2Senior / Lead Analyst, Treasury

Senior / Lead Analyst, Treasury

Hcgi Fa Us2 Oraclecloud Com CX 2 · Houston, TX, United States; US TX Houston 845 Texas Avenue, Houston, TX, US · Active · Oracle Recruiting Cloud / Fusion HCM

Job facts

FieldValue
CompanyHcgi Fa Us2 Oraclecloud Com CX 2
TitleSenior / Lead Analyst, Treasury
Normalized title-
Department / teamTreasury
LocationHouston, TX, United States
Work model-
Employment typeFull Time
Salary-
Statusactive
ATS providerOracle Recruiting Cloud / Fusion HCM
Posted / first seen2026-05-26 / 2026-05-31
Changed / last seen2026-06-03 / 2026-06-06

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Linked records

CompanyHcgi Fa Us2 Oraclecloud Com CX 2
Source3b30530c-5aa0-4d22-9ef2-b3892c8b0218
ATS providerOracle Recruiting Cloud / Fusion HCM

Description

Description POSITION OVERVIEW The Senior/Lead Analyst, Treasury will primarily support the Treasury operations of Cheniere’s UK business and secondary support to Cheniere’s overall Treasury operations. Responsibilities will include but are not limited to the following: preparing short-term and long-term cash forecasts, assisting with trade finance and guarantee issuances, supporting daily cash management and investing excess cash, reviewing draft and executed contracts and confirmations, reviewing potential transactions for any Treasury related requirements and providing back-up for Cheniere’s domestic Treasury operations. The Senior/Lead Analyst, Treasury should have strong organizational skills and exceptional attention to detail. Candidates must be able to think critically, solve problems independently, and collaborate effectively with both UK and US based staff. The Senior/Lead Analyst, Treasury must have excellent verbal and written communication. The Senior/Lead Analyst, Treasury should be a resourceful individual who enjoys learning new skills and is seeking a demanding and fulfilling professional experience with the opportunity to grow. RESPONSIBILITIES AND ESSENTIAL DUTIES Support Cheniere’s UK Treasury operations with all Treasury tasks, main areas will be: Prepare and maintain the daily and long-term cash forecast, working across the enterprise to understand the business and items that might impact the short and long-term forecasts. Stay informed of transactions that require Cheniere to issue credit support instruments and then support and facilitate trade finance borrowing and letter of credit requests, coordinating between the front office and the company’s finance providers, all under the guidance of Treasury management. Review banking instructions at various stages of the counterparty lifecycle. Review Confirmation Notices to ensure appropriate banking is included for Cheniere and the counterparty, as well as other terms that may impact Treasury. Review Master Sales and Purchase Agreements to ensure reasonable payment terms, definitions that impact payments, and acceptable credit support wording (in coordination with our trade finance banks). Provide clear, consistent and regular reporting regarding cash and trade finance activity; Support operational treasury and cash management, including supporting investing excess cash. Provide back-up support for Cheniere’s US Treasury Operations and forecasting. Ensure that Treasury continues to be a dependable, trusted provider of high-quality treasury services to the UK and US businesses and identify process improvements.  The duties and responsibilities described are not a comprehensive list and additional tasks may be assigned to the employee from time to time; or the scope of the job may change as necessitated by business demands. KNOWLEDGE AND SKILLS Excellent communication skills, both written and verbal. Strong interpersonal skills and the ability to work productively and constructively with others. Emphasis on attention to detail and producing accurate, complete deliverables. Advanced Excel skills with proficiency using Word and PowerPoint. Ability to multi-task and stay on top of numerous tasks with a sense of urgency in a fast-paced environment. Ambition to develop new skills, create efficiencies, and perform proactively. EDUCATION AND EXPERIENCE Education and Certifications:  Bachelor’s degree required, preferably in Finance or closely related field of study. Experience: Senior Analyst: Minimum 5 years of relevant experience, preferably within a trading operation or corporate Treasury function with commodity exposure. Experience with modeling and Endur preferred. Lead Analyst: Minimum 8 years of relevant progressive experience, preferably within a trading operation or corporate Treasury function with commodity exposure. Experience with modeling and Endur required. DIRECT REPORTS None FREEDOM TO ACT The Senior/Lead Analyst, Treasury must be able to work collaboratively with a broad range of departments and offices across the company and possess sufficient knowledge and skills to complete assigned work with direction from Treasury management. WORK CONDITIONS This position functions in a typical office environment, but is subject to time pressures and constraints, and is often dependent on input from others. Must be willing and able to manage time zone challenges among the company’s multiple offices. Will be exposed to challenging, time sensitive situations. May be required to work outside normal work hours. ADA JOB REQUIREMENTS Reasonable accommodation will be made to ensure that the essential functions of the job can be performed and not hinder the employee's performance due to physical, mental, or emotional disability. EQUAL EMPLOYMENT OPPORTUNITY Cheniere Energy is an equal opportunity workplace. All employment decisions are made without regard to sex, race, color, religion, national origin, citizenship, age, disability, marital or veteran status, sexual orientation, gender identity or expression, or any other legally protected categories. This includes providing reasonable accommodation if requested for disabilities or religious beliefs and practices. Company Cheniere Energy is a global leader in LNG providing flexible, reliable and affordable energy to the world while powering the transition to a lower-carbon future. We are a values-driven company that focuses on teamwork, respect, accountability, integrity, nimbleness, and above all, safety for our employees, our communities, and our assets. Cheniere Energy’s global impact is achieved through a diverse and passionate workforce that is invested in our company through our annual stock-grant program. Our high-performing employees are united by a shared mission, common goals and a culture of inclusion and caring. Our comprehensive compensation and benefits offerings are competitive and strong, and they prioritize wellness and performance incentives that reward results. As an employee of Cheniere Energy, you will make an impact on our business and our communities. A Fortune 500 company, Cheniere Energy is headquartered in Houston with U.S. offices in Lake Charles, Louisiana and Washington D.C.; production sites in Cameron, Louisiana and Gregory, Texas; and international offices in London, Singapore, Beijing and Tokyo.

Full job record

Job ID9a6f2e5ae07f8a8201766f2cfb4707405a6aab82
Org ID73127f7b-e96c-455c-a487-9d547e1d9c7c
Source ID3b30530c-5aa0-4d22-9ef2-b3892c8b0218
Board ID3b30530c-5aa0-4d22-9ef2-b3892c8b0218
Provideroracle_hcm
Provider Job Key25000385
TitleSenior / Lead Analyst, Treasury
Normalized Title
Statusactive
Activeyes
Location TextHouston, TX, United States; US TX Houston 845 Texas Avenue, Houston, TX, US
DepartmentTreasury
Team
Employment Typefull_time
Workplace Type
Remote Policy
CountryUnited States
RegionTX
CityHouston
Salary RawDescription POSITION OVERVIEW The Senior/Lead Analyst, Treasury will primarily support the Treasury operations of Cheniere’s UK business and secondary support to Cheniere’s overall Treasury operations. Responsibilities will include but are not limited to the following: preparing short-term and long-term cash forecasts, assisting with trade finance and guarantee issuances, supporting daily cash management and investing excess cash, reviewing draft and executed contracts and confirmations, reviewing potential transactions for any Treasury related requirements and providing back-up for Cheniere’s domestic Treasury operations. The Senior/Lead Analyst, Treasury should have strong organizational skills and exceptional attention to detail. Candidates must be able to think critically, solve problems independently, and collaborate effectively with both UK and US based staff. The Senior/Lead Analyst, Treasury must have excellent verbal and written communication. The Senior/Lead Analyst, Treasury should be a resourceful individual who enjoys learning new skills and is seeking a demanding and fulfilling professional experience with the opportunity to grow. RESPONSIBILITIES AND ESSENTIAL DUTIES Support Cheniere’s UK Treasury operations with all Treasury tasks, main areas will be: Prepare and maintain the daily and long-term cash forecast, working across the enterprise to understand the business and items that might impact the short and long-term forecasts. Stay informed of transactions that require Cheniere to issue credit support instruments and then support and facilitate trade finance borrowing and letter of credit requests, coordinating between the front office and the company’s finance providers, all under the guidance of Treasury management. Review banking instructions at various stages of the counterparty lifecycle. Review Confirmation Notices to ensure appropriate banking is included for Cheniere and the counterparty, as well as other terms that may impact Treasury. Review Master Sales and Purchase Agreements to ensure reasonable payment terms, definitions that impact payments, and acceptable credit support wording (in coordination with our trade finance banks). Provide clear, consistent and regular reporting regarding cash and trade finance activity; Support operational treasury and cash management, including supporting investing excess cash. Provide back-up support for Cheniere’s US Treasury Operations and forecasting. Ensure that Treasury continues to be a dependable, trusted provider of high-quality treasury services to the UK and US businesses and identify process improvements.  The duties and responsibilities described are not a comprehensive list and additional tasks may be assigned to the employee from time to time; or the scope of the job may change as necessitated by business demands. KNOWLEDGE AND SKILLS Excellent communication skills, both written and verbal. Strong interpersonal skills and the ability to work productively and constructively with others. Emphasis on attention to detail and producing accurate, complete deliverables. Advanced Excel skills with proficiency using Word and PowerPoint. Ability to multi-task and stay on top of numerous tasks with a sense of urgency in a fast-paced environment. Ambition to develop new skills, create efficiencies, and perform proactively. EDUCATION AND EXPERIENCE Education and Certifications:  Bachelor’s degree required, preferably in Finance or closely related field of study. Experience: Senior Analyst: Minimum 5 years of relevant experience, preferably within a trading operation or corporate Treasury function with commodity exposure. Experience with modeling and Endur preferred. Lead Analyst: Minimum 8 years of relevant progressive experience, preferably within a trading operation or corporate Treasury function with commodity exposure. Experience with modeling and Endur required. DIRECT REPORTS None FREEDOM TO ACT The Senior/Lead Analyst, Treasury must be able to work collaboratively with a broad range of departments and offices across the company and possess sufficient knowledge and skills to complete assigned work with direction from Treasury management. WORK CONDITIONS This position functions in a typical office environment, but is subject to time pressures and constraints, and is often dependent on input from others. Must be willing and able to manage time zone challenges among the company’s multiple offices. Will be exposed to challenging, time sensitive situations. May be required to work outside normal work hours. ADA JOB REQUIREMENTS Reasonable accommodation will be made to ensure that the essential functions of the job can be performed and not hinder the employee's performance due to physical, mental, or emotional disability. EQUAL EMPLOYMENT OPPORTUNITY Cheniere Energy is an equal opportunity workplace. All employment decisions are made without regard to sex, race, color, religion, national origin, citizenship, age, disability, marital or veteran status, sexual orientation, gender identity or expression, or any other legally protected categories. This includes providing reasonable accommodation if requested for disabilities or religious beliefs and practices. Company Cheniere Energy is a global leader in LNG providing flexible, reliable and affordable energy to the world while powering the transition to a lower-carbon future. We are a values-driven company that focuses on teamwork, respect, accountability, integrity, nimbleness, and above all, safety for our employees, our communities, and our assets. Cheniere Energy’s global impact is achieved through a diverse and passionate workforce that is invested in our company through our annual stock-grant program. Our high-performing employees are united by a shared mission, common goals and a culture of inclusion and caring. Our comprehensive compensation and benefits offerings are competitive and strong, and they prioritize wellness and performance incentives that reward results. As an employee of Cheniere Energy, you will make an impact on our business and our communities. A Fortune 500 company, Cheniere Energy is headquartered in Houston with U.S. offices in Lake Charles, Louisiana and Washington D.C.; production sites in Cameron, Louisiana and Gregory, Texas; and international offices in London, Singapore, Beijing and Tokyo.
Salary Min
Salary Max
Salary Currency
Salary Periodday
Source URLhttps://hcgi.fa.us2.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_2/job/25000385
Apply URLhttps://hcgi.fa.us2.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_2/job/25000385
First Seen At2026-05-31 17:58:18Z
Last Seen At2026-06-06 19:58:29Z
Last Checked At2026-06-06 19:58:29Z
Last Changed At2026-06-03 11:18:37Z
Inactive At
Source Posted At2026-05-26 19:20:31Z
Source Updated At
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    "ExternalDescriptionStr": "<p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>POSITION OVERVIEW</strong></span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">The Senior/Lead Analyst, Treasury will primarily support the Treasury operations of Cheniere’s UK business and secondary support to Cheniere’s overall Treasury operations.&nbsp;Responsibilities will include but are not limited to the following: preparing short-term and long-term cash forecasts, assisting with trade finance and guarantee issuances, supporting daily cash management and investing excess cash, reviewing draft and executed contracts and confirmations, reviewing potential transactions for any Treasury related requirements and providing back-up for Cheniere’s domestic Treasury operations.</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">The Senior/Lead Analyst, Treasury should have strong organizational skills and exceptional attention to detail. Candidates must be able to think critically, solve problems independently, and collaborate effectively with both UK and US based staff. The Senior/Lead Analyst, Treasury must have excellent verbal and written communication. The Senior/Lead Analyst, Treasury should be a resourceful individual who enjoys learning new skills and is seeking a demanding and fulfilling professional experience with the opportunity to grow.</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>RESPONSIBILITIES AND ESSENTIAL DUTIES</strong></span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Support Cheniere’s UK Treasury operations with all Treasury tasks, main areas will be:&nbsp;</span></span></p><ul style=\"list-style-type: disc;\"><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Prepare and maintain the daily and long-term cash forecast, working across the enterprise to understand the business and items that might impact the short and long-term forecasts.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Stay informed of transactions that require Cheniere to issue credit support instruments and then support and facilitate trade finance borrowing and letter of credit requests, coordinating between the front office and the company’s finance providers, all under the guidance of Treasury management.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Review banking instructions at various stages of the counterparty lifecycle.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Review Confirmation Notices to ensure appropriate banking is included for Cheniere and the counterparty, as well as other terms that may impact Treasury.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Review Master Sales and Purchase Agreements to ensure reasonable payment terms, definitions that impact payments, and acceptable credit support wording (in coordination with our trade finance banks).</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Provide clear, consistent and regular reporting regarding cash and trade finance activity;</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Support operational treasury and cash management, including supporting investing excess cash.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Provide back-up support for Cheniere’s US Treasury Operations and forecasting.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Ensure that Treasury continues to be a dependable, trusted provider of high-quality treasury services to the UK and US businesses and identify process improvements. </span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">The duties and responsibilities described are not a comprehensive list and additional tasks may be assigned to the employee from time to time; or the scope of the job may change as necessitated by business demands.&nbsp;<strong>&nbsp;</strong></span></span></li></ul><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>KNOWLEDGE AND SKILLS</strong></span></span></p><ul style=\"list-style-type: disc;\"><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Excellent communication skills, both written and verbal.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Strong interpersonal skills and the ability to work productively and constructively with others.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Emphasis on attention to detail and producing accurate, complete deliverables.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Advanced Excel skills with proficiency using Word and PowerPoint.&nbsp;</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Ability to multi-task and stay on top of numerous tasks with a sense of urgency in a fast-paced environment.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Ambition to develop new skills, create efficiencies, and perform proactively.</span></span></li></ul><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>EDUCATION AND EXPERIENCE</strong>&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>Education and Certifications:</strong> Bachelor’s degree required, preferably in Finance or closely related field of study.&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>Experience:</strong>&nbsp;</span></span></p><ul style=\"list-style-type: disc;\"><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>Senior Analyst:</strong> Minimum 5&nbsp;years of relevant experience, preferably within a trading operation or corporate Treasury function with commodity exposure. Experience with modeling and Endur preferred.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>Lead Analyst:</strong> Minimum&nbsp;8 years of relevant progressive experience, preferably within a trading operation or corporate Treasury function with commodity exposure. Experience with modeling and Endur required.</span></span></li></ul><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>DIRECT REPORTS</strong>&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">None</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>FREEDOM TO ACT</strong></span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">The Senior/Lead Analyst, Treasury must be able to work collaboratively with a broad range of departments and offices across the company and possess sufficient knowledge and skills to complete assigned work with direction from Treasury management.&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>WORK CONDITIONS</strong></span></span></p><ul style=\"list-style-type: disc;\"><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">This position functions in a typical office environment, but is subject to time pressures and constraints, and is often dependent on input from others.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Must be willing and able to manage time zone challenges among the company’s multiple offices.&nbsp;</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Will be exposed to challenging, time sensitive situations.</span></span></li><li style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">May be required to work outside normal work hours.&nbsp;</span></span></li></ul><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>ADA JOB REQUIREMENTS</strong></span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Reasonable accommodation will be made to ensure that the essential functions of the job can be performed and not hinder the employee's performance due to physical, </span></span><a name=\"_Int_SWr7LFSZ\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">mental,</span></span></a><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"> or emotional disability.</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">&nbsp;</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\"><strong>EQUAL EMPLOYMENT OPPORTUNITY</strong></span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\"><span style=\"font-family: Calibri, sans-serif;\"><span style=\"font-size: 11pt;\">Cheniere Energy is an equal opportunity workplace. All employment decisions are made without regard to sex, race, color, religion, national origin, citizenship, age, disability, marital or veteran status, sexual orientation, gender identity or expression, or any other legally protected categories. This includes providing reasonable accommodation if requested for disabilities or religious beliefs and practices.</span></span></p><p style=\"line-height: normal; margin-bottom: 0in;\">&nbsp;</p>",
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