Treasury Team Member

Intersect
$112,000 - $130,000Hybrid

About The Position

As part of Intersect's Corporate Finance team, you'll manage daily cash positioning, liquidity tracking, payment processing, and accounts payable operations to support our growing clean energy asset portfolio. You'll drive operational precision across bank portals, treasury systems, and financial models, ensuring capital is deployed efficiently and securely. Working alongside finance, accounting, and development teams, you'll optimize cash management workflows, maintain robust internal controls, and support strategic liquidity forecasting. Your work directly strengthens Intersect's balance sheet execution, delivering long-run value as we scale utility-scale solar, wind, BESS, and data center power solutions. Team Overview This team plays a critical role in advancing Intersect's mission to accelerate the clean energy transition. The Corporate Finance team manages capital strategy, cash operations, and financial infrastructure to fund and sustain complex, large-scale energy projects. Joining this team means maintaining the financial heartbeat of our operations and growing within an agile, highly collaborative environment committed to excellence.

Requirements

  • Bachelor's degree in Finance, Accounting, Economics, or a related field.
  • 2+ years of experience in corporate treasury, cash management, accounts payable, or financial operations.
  • Hands-on expertise using treasury management systems (Kyriba), AP automation tools (Stampli), and enterprise banking portals.
  • Strong financial modeling skills in Google Sheets and Excel, with demonstrated capability in cash positioning and flow forecasting.
  • High detail orientation and rigorous organizational habits when executing high-dollar financial transactions under fixed deadlines.
  • Commitment to ethical stewardship, operational authenticity, and collaborative team culture, aligned with Intersect's values of Equity, Humility, Authenticity, Long-run Value, and People Come First.

Responsibilities

  • Perform daily cash positioning and consolidation across multiple bank accounts and legal entities using Kyriba and banking portals.
  • Maintain detailed short-term cash flow forecasts and liquidity models in Google Sheets to optimize daily working capital.
  • Manage invoice intake, approval workflows, and payment runs in Stampli, ensuring accuracy and timely vendor settlements.
  • Initiate and verify wire transfers, ACH payments, and internal book transfers in strict alignment with authorization policies.
  • Support bank account opening, account maintenance, signers updates, and portal user access management across financial partners.
  • Maintain audit-ready documentation and internal treasury controls across payment systems and banking activities.
  • Partner with Accounting during monthly and quarterly closes to reconcile cash activity and resolve bank discrepancies.
  • Identify opportunities to automate manual payment routines, streamline reporting, and improve system integrations.

Benefits

  • Equity Grant
  • 100% premium coverage for you and your dependents on medical, dental, and vision
  • Unlimited PTO
  • Two company-wide breaks (Fourth of July & end of year)
  • Up to 12 weeks of fully paid parental leave, plus 6 additional weeks for birth parents
  • Access to family planning and family care support through Carrot and Maven
  • Free access to Spring Health, including 5 free therapy and psychiatry sessions
  • Headspace account for mindfulness and meditation
  • $150 monthly food stipend
  • $150 monthly reimbursement for cell phone and internet
  • Pet insurance allowance
  • Full home office setup
  • Free access to UrbanSitter with $625 in quarterly company-paid credits
  • ActiveHero
  • One Medical
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