Director, Corporate Finance & Treasury

EnwaveToronto, ON
CA$180,000 - CA$195,000

About The Position

The Director, Corporate Finance & Treasury, will be a key leader within the Finance team. The successful candidate will provide vision, leadership and direction on all corporate finance strategies, initiatives, and processes. We are seeking an experienced and driven leader who is passionate about new district energy systems and their impact on decarbonizing communities and has a desire to play an active role in the transition to clean energy.

Requirements

  • Strong and proven leadership skills and service mindset
  • Excellent communication and collaboration skills and proven ability to effectively partner with various stakeholders across the business.
  • Ability to develop, manage and update financial models. Exceptionally strong excel and PowerPoint skills are needed.
  • Strong management skills, including coaching, feedback, and proactively managing performance.
  • A university degree in Business or Finance
  • 7+ years of experience in a progressive Treasury environment.
  • Demonstrated experience and knowledge dealing with multinational banks to negotiate and execute corporate financing arrangements.

Nice To Haves

  • an MBA, CFA, FRM, or CPA designation is preferred.
  • Experience in the renewable energy sector, utility or construction industry is an asset.

Responsibilities

  • Develop and execute a comprehensive treasury and corporate finance strategy aligned with Enwave’s long-term growth objectives, including funding, valuation, and liquidity planning.
  • Partner with business leaders and FP&A to maintain a forward-looking view on funding requirements, cash flow forecasting and rating agency metrics.
  • Own and enhance the long-term (30-year) business and valuation model to assess the impact of capital projects, financing decisions and macroeconomic variables.
  • Develop and enhance treasury policies, controls and governance frameworks.
  • Lead all debt management activities, including debt draws, letters of credit, covenant compliance and calculations, lender reporting and ongoing optimization of capital structure.
  • Manage cash position, forecasting and liquidity analysis to ensure sufficient funding capacity.
  • Oversee equity management, including capital calls, shareholder funding flows, intercompany financing structure and dividend planning and execution.
  • Manage relationships with banks, lenders, and rating agencies; support and lead interactions with credit rating agencies.
  • Lead treasury systems and automation initiatives, improving efficiency, reporting and data integrity across treasury and finance processes.
  • Monitor financial market conditions and recommend strategies to optimize cost of capital and liquidity.
  • Lead hedging and derivatives strategy, including execution, monitoring, valuation and compliance with accounting standards.
  • Ensure appropriate risk management frameworks are in place for interest rates, FX, and other financial exposures.
  • Partner closely with FP&A to support budgeting, forecasting and variance analysis, ensuring alignment between treasury assumptions and corporate plans.
  • Provide insights into liquidity, capital allocation and funding implications to support decision making.
  • Provide oversight of treasury-related accounting, including debt, derivatives and hedge accounting.
  • Support impairment testing, working closely with FP&A and accounting teams.
  • Ensure accuracy and completeness of treasury inputs into financial statements and disclosures.
  • Prepare materials for the Leadership Team and the Board of Directors on liquidity, capital structure, financial strategy and risk exposures.
  • Collaborate cross-functionally with Corporate Development, Legal, FP&A and Controllership to support new development opportunities, acquisitions, transactions, projects and strategic initiatives.

Benefits

  • Compensation: $180,000-195,000 CAD Annually.
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