A growing renewables platform is hiring a hands -on Treasury Manager to lead cash, risk and banking activity while helping shape medium/long -term funding for a sizeable development pipeline.
Key responsibilities include:
Own short/long -term cash forecasting and group liquidity.
Execute FX/interest -rate hedging and monitor counterparty risk.
Manage bank account structures, intercompany funding and guarantees/LCs.
Drive treasury process automation and MI/reporting.
Support financing for projects, M&A, refinancings and JVs.
Maintain policy, controls and audit/regulatory compliance.
Requirements:
8–10+ years in corporate treasury/banking/corporate finance.
Proven ownership of cash, FX/IR, liquidity and working capital.
Comfortable with facility negotiations, covenants and legal docs.
Strong modelling/Excel; experience with TMS/banking platforms a plus.
Degree in Finance/Business/Accounting; AMCT/Accountancy desirable.
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