Lead treasury operations in a dynamic renewable energy organization. Collaborate on strategic financing and liquidity initiatives. Enhance your expertise in a growth-focused, team-oriented environment.
Treasury Manager
in Financial Services PermanentJob Detail
Job Description
Overview
- Lead treasury operations to ensure efficient cash management and liquidity forecasting, supporting financial stability and organizational growth.
- Collaborate with senior leadership and external stakeholders on strategic financing initiatives and renewable energy projects.
- Manage banking relationships and oversee interest rate risk through market analysis and hedging strategies.
- Develop and refine fund flow processes and operating cash forecasts for optimal liquidity management.
- Ensure compliance with financial regulations and internal policies in all treasury operations.
- Contribute to the organization's mission of advancing renewable energy and infrastructure projects.
- Foster a collaborative and professional development-focused workplace culture, encouraging innovation and teamwork.
Key Responsibilities & Duties
- Execute daily treasury operations, including cash management and accounts payable activities, ensuring precision and efficiency.
- Monitor financial markets to manage interest rate exposure and implement effective hedging strategies.
- Lead the preparation and execution of fund flow processes to ensure timely distributions and liquidity.
- Oversee the development and updating of operating cash forecasts to maintain financial stability.
- Maintain strong relationships with financial institutions and banking partners to support strategic objectives.
- Ensure adherence to debt obligations and internal policies in all treasury activities.
- Collaborate with external advisors, including lenders, accountants, and legal professionals, to achieve financial goals.
- Support renewable energy projects and contribute to strategic growth initiatives within the organization.
Job Requirements
- Bachelor’s degree in Business, Accounting, Finance, Economics, or a related field is required.
- Minimum of 5 years of experience in treasury operations; 10 years preferred.
- Proficiency in financial modeling and familiarity with tax equity and debt structures.
- Strong analytical skills and attention to detail in a dynamic environment.
- Advanced proficiency in Excel and PowerPoint for financial analysis and presentations.
- Certified Treasury Professional (CTP) or Chartered Financial Analyst (CFA) designation preferred.
- Ability to manage multiple priorities and work collaboratively within a team-oriented culture.
- Existing relationships with financial institutions are considered an asset for this role.
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