Treasury Manager

InvenergyChicago, IL
$120,000 - $145,000

About The Position

Invenergy is North America’s largest privately held developer, owner, and operator of power infrastructure. With 25 years of trusted execution, we deliver reliable, affordable energy through a diverse portfolio that includes natural gas, solar, land-based wind, energy storage, transmission, and domestic manufacturing. Headquartered in Chicago, we develop, own, and operate large scale projects that power communities and support the energy future. This position will be open for application for at least 3 calendar days from the posting date. This position will remain open for application based on business need, which may be before or after the 3-day posting window. Job Description Position Overview The Manager, Treasury is a multi-faceted leadership role responsible for the oversight and execution of critical deliverables that support Invenergy LLC as a whole. This includes playing an active role in managing/ overseeing the short-term forecasts, managing foreign exchange activity across the organization, overseeing Letter of Credit issuances critical to supporting the development pipeline and liaising across the business to ensure Treasury’s information requirements are met. This position requires mentorship of individuals with various years of experience within the team. The successful candidate will work closely with key stakeholder groups across the company and will have mastered the ability to communicate effectively with all levels of Senior Management.

Requirements

  • Bachelor’s degree in Finance or related field
  • 5–10+ years of relevant experience in treasury or related functions
  • Strong computer skills, including above average proficiency in Excel
  • Experience with Treasury Management Systems or database platforms
  • Prior experience managing or leading teams
  • Eligible to work in the United States without the need for employer visa sponsorship now or in the future.

Nice To Haves

  • Exceptional people leadership and cross‑functional collaboration skills, including the ability to motivate, engage and energize direct reports
  • Team player who can coordinate productively across departments to achieve company-wide goals
  • Strong communicator (written and verbal) with the ability to influence at multiple levels
  • Proven problem‑solver who thrives in fast‑paced or entrepreneurial environments
  • Demonstrated ability to think innovatively and troubleshoot
  • Demonstrated ability to manage multiple deliverables under tight deadlines
  • Commitment to drive continuous improvement
  • CTP or CFA designation is a plus

Responsibilities

  • Manage team supporting short-term cash forecasts, investments, foreign exchange and banking activities across the organization
  • Manage short-term borrowing facilities and liquidity
  • Handle complex and challenging letter of credit issuances; oversee assignment of coverage for incoming requests and manage relationships with our letter of credit issuing banks
  • Lead technology initiatives within Treasury in order to streamline & improve processes
  • Recommend and update Treasury policies and procedures for day-to-day operations, such as Foreign Exchange and Investment procedures
  • Liaise with business groups to understand current and upcoming project impacts on the company’s liquidity
  • Lead and oversee Treasury’s role in project financings, tax equity activities, project sales, and acquisitions
  • Communicate consolidated liquidity position to senior management
  • Act as key point of contact for banking relationships

Benefits

  • medical
  • dental
  • vision insurance
  • 401k
  • paid time off
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