Treasury Associate

NexampBoston, MA
$27 - $31Hybrid

About The Position

Nexamp is seeking a Treasury Associate to support the operational execution of our project-level cash management activities. In this role, you'll help ensure funds move accurately, efficiently, and in compliance with applicable loan and equity agreements. As Nexamp's portfolio continues to grow, this role will add critical capacity to the Treasury & Finance team by owning day-to-day transactional work across intercompany transfers, distribution processing, depository account management, and swap operations. This is a strong opportunity for an early-career finance professional who enjoys detail-oriented work, cross-functional partnership, and building expertise in project finance and treasury operations. This role is hybrid out of our Boston, MA Headquarters.

Requirements

  • Bachelor's degree in Finance, Accounting, Business, or a related field.
  • 1–3 years of experience in treasury operations, corporate finance, or accounting, ideally within the energy, infrastructure, or project finance.
  • Familiarity with accounts payable workflows and experience working cross-functionally with accounting teams.
  • Experience with cash management platforms and online banking portals ability to execute wires, ACH transfers, and inter-entity cash movements.
  • Exposure to tax equity structures, LLC/partnership agreements (LLCAs), or project-level debt agreements; ability to interpret distribution waterfall provisions and withdrawal/distribution certificate requirements.
  • Basic understanding of interest rate swaps or other derivative, including trade confirmation processes and settlement reconciliation.
  • Experience maintaining financial tracking schedules or logs such as cash balances, counterparty records, and covenant compliance trackers.
  • Strong attention to detail and the ability to manage high-volume, time-sensitive work with accuracy.
  • Proficiency in Excel; experience with treasury management systems (TMS) or ERP platforms is a plus.
  • Ability to work cross-functionally and communicate effectively with Accounting, AP, Asset Management, and banking counterparties
  • Commitment to Nexamp's mission and have a passion for solving tomorrow's climate crisis today.
  • Demonstrated experience in effectively communicating information, ideas, and perspectives with people inside and beyond your organization.
  • Experience in showcasing initiative to make improvements to current work, processes, products, and services across the organization. We value accountability and an ownership mentality.
  • Ability to ask appropriate questions, analyze data, identify the root causes of problems, and present creative solutions.
  • Expertise in building strong internal and external relationships with customers and stakeholders, instilling trust and loyalty across the industry.
  • Eagerness to develop a fundamental understanding of how Nexamp operates and then apply that knowledge effectively to inform business decisions.

Nice To Haves

  • Experience with treasury management systems (TMS) or ERP platforms is a plus.

Responsibilities

  • Support in preparing and executing weekly treasury operations and cash movement activities.
  • Partner closely with Accounting and Accounts Payable to coordinate timely, accurate transaction processing.
  • Assist Asset Management in calculating distribution payments in accordance with tax equity Limited Liability Company Agreement (LLCA) provisions and debt agreement requirements.
  • Prepare withdrawal and distribution certificates based on applicable LLCA and credit agreement terms.
  • Execute cash transfers between Nexamp Inc. and project-level entities, including intercompany movements and project funding requests.
  • Monitor cash balances, credit agreement restrictions, and account funding needs before initiating wires or transfers.
  • Maintain and update wire templates and support transfers to project-related banking partners.
  • Support live swap executions under oversight and manage monthly and quarterly trade confirmations.
  • Maintain swap tracking logs, including counterparty details, callback verifications, and settlement reconciliations.
  • Help manage tax equity leverage and construction debt depository accounts.
  • Track project revenues in accordance with applicable loan agreements.
  • Assist with opening and maintaining bank accounts, including setting up access for wires, checks, ACH, and transfers.

Benefits

  • competitive compensation package
  • 401(k) employer-match
  • health, dental, and vision insurance starting day one
  • flexible paid time off
  • holiday PTO
  • commuter benefits
  • cell phone reimbursement
  • healthy snacks
  • coffee
  • service days and other volunteer opportunities
  • company outings
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