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Sempra Infrastructure

Manager, Treasury - Corporate Finance

Houston, TXPosted 1 weeks ago
manager

Job Description

Primary Purpose

Exceptional opportunity to shape the future of fast-growing energy infrastructure company, developing optimal capital structure analysis, relationships with rating agencies, banks and JV partners. Execution of long-term financing, strategies, foreign currency and interest rate hedging, and credit facilities negotiation. Opportunity to lead the corporate finance team towards excellence and foster collaboration working closely with other cross-functional teams.

 

Duties and Responsibilities

  • Develops capital structure recommendations and works with executive level and other stakeholder to provide timely structuring and funding recommendations backed by principled rationale.
  • Manages relationships with credit rating agencies, banks and JV investors.
  • Maintains influence over various functions and internal stakeholders to ensure all financial information is consistent, accurate and on time and ensures operational needs are met and credit and financial analysis sound.
  • Implements a holistic oversight of financial risk including oversight of the treasury risk register.
  • Designs interest and foreign currency hedging strategies.
  • Reviews information prepared by the Corporate Finance team used to make decisions, present to the Board or other internal and external stakeholders.
  • Keeps abreast of changes in banking, capital markets, hedging and other applicable regulations. 
  • Champions team development and foster an inclusive and high performing environment.
  • Facilitates clear communication and alignment with strategic goals across the organization.
  • Performs other duties as assigned.

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501-1000 employees
San Diego, CA, US
Website
Manager, Treasury - Corporate Finance at Sempra Infrastructure | Renata