Job Description
This position is listed on behalf of a partner company, who manages all applications and next steps. Our partner is looking for a Manager, Treasury & Debt Management based in United States.
This Manager, Treasury & Debt Management role sits at the center of a complex financing environment supporting large-scale energy storage and infrastructure assets.
You will oversee corporate, project, and tax equity debt structures, ensuring accurate execution, compliance, and reporting across a multi-layered portfolio.
The role is responsible for managing liquidity, debt schedules, and financing obligations across revolving credit facilities, project finance structures, and partnership agreements.
You will work closely with legal, accounting, compliance, and FP&A teams to ensure all financing requirements are met and properly administered.
A key aspect of the role involves maintaining strong financial discipline while optimizing cash flow and supporting strategic capital decisions.
The position requires hands-on execution combined with strong cross-functional coordination across multiple financing stakeholders.
This is a high-visibility role where treasury operations directly support portfolio growth and financial stability.
This position is listed on behalf of a partner company, who manages all applications and next steps. Our partner is looking for a Manager, Treasury & Debt Management based in United States.
This Manager, Treasury & Debt Management role sits at the center of a complex financing environment supporting large-scale energy storage and infrastructure assets.
You will oversee corporate, project, and tax equity debt structures, ensuring accurate execution, compliance, and reporting across a multi-layered portfolio.
The role is responsible for managing liquidity, debt schedules, and financing obligations across revolving credit facilities, project finance structures, and partnership agreements.
You will work closely with legal, accounting, compliance, and FP&A teams to ensure all financing requirements are met and properly administered.
A key aspect of the role involves maintaining strong financial discipline while optimizing cash flow and supporting strategic capital decisions.
The position requires hands-on execution combined with strong cross-functional coordination across multiple financing stakeholders.
This is a high-visibility role where treasury operations directly support portfolio growth and financial stability.
