The Treasurer will lead the company's treasury functions, including capital raising, cash management, and risk management, to support the company's growth and operational needs in the renewable energy sector.
Key Responsibilities
Establish and lead the company's treasury function, including team development, processes, and systems.
Design and implement treasury policies, procedures, and internal controls.
Partner with senior leadership to align treasury strategy with overall financial and operational goals.
Manage corporate capital raising activities, including debt facilities and financing structures.
Develop and maintain relationships with financial institutions, lenders, and funding partners.
Oversee daily cash management, forecasting, and liquidity planning.
Implement treasury systems and reporting tools for cash and liquidity transparency.
Oversee the company's insurance programs and negotiate coverage to manage risks.
Evaluate and manage risks to safeguard assets and operations.
Requirements
Bachelor's degree in Finance, Accounting, Economics, or related field
MBA, CFA, or CTP designation is strongly preferred
10 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 asset-intensive 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 designing and implementing treasury policies, procedures, and internal controls
Experience in developing and maintaining relationships with financial institutions, lenders, and funding partners
Experience in monitoring financial covenant compliance and ensuring timely reporting to funding partners
Experience in overseeing daily cash management, forecasting, and liquidity planning
Experience in implementing treasury systems and reporting tools to provide transparency into cash and liquidity
Experience in overseeing the Company’s insurance programs and strategy, including property, casualty, liability, and specialty coverages
Ability to evaluate and manage risks to safeguard the Company’s assets and operations
Ability to negotiate insurance policies and ensure appropriate coverage and cost effectiveness
Employment contingent upon the successful completion of a background check
Benefits & Perks
unlimited PTO
medical coverage
dental coverage
vision coverage
paid parental leave
retirement plans
Ready to Apply?
Join Palmetto Clean Technology and make an impact in renewable energy