The Treasurer will lead the company's treasury functions, including capital raising, cash management, liquidity planning, and risk management, to support the company's growth and long-term financial stability in the clean energy sector.
Key Responsibilities
Lead and develop the company's treasury function, including processes, systems, policies, and internal controls.
Manage corporate capital raising activities, including debt facilities and financing structures.
Oversee daily cash management, forecasting, and liquidity planning across all entities.
Oversee the company's insurance programs and strategy to manage risks and safeguard assets.
Identify, assess, and mitigate financial risks, including developing hedging strategies and risk monitoring frameworks.
Requirements
Bachelor's degree in Finance, Accounting, Economics, or related field.
MBA, CFA, or CTP designation is strongly preferred.
At least 8 years of treasury, finance, or related experience, including demonstrated success in corporate capital raising and treasury operations.
Experience establishing and leading a treasury function in a growth-oriented or consumer asset finance industry is preferred.
Strong knowledge of cash management, financing structures, and insurance programs.
Proven leadership ability with experience building and developing high-performing teams, fostering a culture of accountability, collaboration, and continuous improvement.
Strong leadership skills with experience mentoring and advancing professional development of staff.
Exceptional communication, negotiation, and relationship management skills.
Experience in developing and overseeing treasury infrastructure, systems, policies, and internal controls appropriate for a high-growth consumer finance business.
Ability to establish and scale treasury infrastructure, systems, policies, and internal controls.
Experience in partnering with senior leadership to align treasury strategy with overall financial and operational objectives.
Experience in corporate-level capital raising activities, including debt facilities, corporate credit lines, and other financing structures to support growth.
Ability to develop and maintain strong relationships with financial institutions, lenders, and other funding partners.
Experience monitoring financial covenant compliance and ensuring timely reporting to funding partners.
Overseeing daily cash management, forecasting, and liquidity planning across all operating entities.
Ensuring efficient utilization of cash resources and optimizing intercompany cash flows.
Implementing treasury systems and reporting tools to provide transparency into cash and liquidity.
Overseeing the Company’s insurance programs and strategy, including property, casualty, liability, D&O, cyber, and other relevant coverages.
Evaluating and managing risks to safeguard the Company’s assets and operations.
Negotiating insurance policies to ensure appropriate coverage and cost effectiveness.
Identifying, assessing, and mitigating financial risks including interest rate, liquidity, counterparty, and market risk.
Developing and overseeing hedging strategies where appropriate.
Establishing risk monitoring frameworks and reporting for senior leadership and the Board.
Benefits & Perks
unlimited PTO
medical coverage
dental coverage
vision coverage
paid parental leave
retirement plans
Ready to Apply?
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