Treasury Manager

Blue Sky Utility

$100K — $120K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field
  • 2-4 years of experience in treasury, corporate finance, or project finance
  • Familiarity with debt structures and multi-entity cash management
  • Experience with lender relationships and financing processes
  • Strong financial modeling and analytical skills
  • Highly organized with strong attention to detail

Responsibilities

  • Manage daily cash positioning and liquidity across entities
  • Maintain cash flow forecasts and scenario planning
  • Optimize cash deployment across accounts
  • Monitor and track all debt obligations
  • Assist in structuring and executing new financings
  • Coordinate with banks, lenders, and tax equity investors
  • Support M&A transactions and financial modeling

Benefits

  • Work alongside a passionate team focused on building a cleaner energy future
  • Competitive salary with thoughtful compensation review
  • Medical, dental, and vision insurance plus a 401(k) with a 6% company match
  • Hybrid work schedule promoting work-life balance
  • Inclusive company culture that values every employee's contribution
Full Job Description
Role Overview

We are looking for a Treasury Manager to join our finance team and play a hands-on role in managing the company's treasury operations during an exciting period of growth.

This is a high-visibility, execution-focused role reporting directly to the CFO. You will own day-to-day treasury operations, support project financings and capital transactions, and help build the processes and controls that allow our platform to scale. For the right candidate - someone earlier in their career who wants direct exposure to complex infrastructure finance - this is an exceptional opportunity to grow quickly in a specialized, in-demand field.

This is a HYBRID role with an expectation of 3 days in office each week.

Key Responsibilities

Cash & Liquidity Management
  • Manage daily cash positioning across operating entities and project-level structures
  • Maintain rolling cash flow forecasts, including scenario planning for growth and acquisitions
  • Optimize cash deployment across accounts and jurisdictions

Debt & Capital Structure Support
  • Monitor all debt obligations, including corporate loans, construction loans, term loans, and tax equity structures
  • Track covenant compliance and reporting requirements across financing agreements
  • Support the structuring and execution of new financings alongside the CFO and Business Development

Banking & Lender Relations
  • Assist in managing relationships with banks, lenders, and tax equity investors
  • Coordinate lender reporting, audits, and ongoing diligence requirements
  • Serve as a day-to-day point of contact for financial institutions
  • Monitor letters of credit

Project Finance & Transactions
  • Support M&A transactions, acquisitions, and asset-level financings alongside the Business Development team
  • Assist with financial modeling, due diligence, and transaction execution
  • Help ensure alignment between treasury operations and project-level financial performance


Insurance & Surety Management
  • Manage the company's insurance program across corporate and project-level policies, including property, liability, builder's risk, and renewable energy-specific coverage
  • Coordinate surety bond programs supporting project development
  • Work with brokers and underwriters to obtain, renew, and optimize coverage as the portfolio grows
  • Ensure insurance and surety requirements are met across financing agreements, contracts, and regulatory obligations
  • Maintain certificates of insurance and bond documentation across all active projects and entities


Risk, Controls & Reporting
  • Identify and flag financial risks, including interest rate exposure and liquidity constraints
  • Support the development of treasury policies, controls, and governance frameworks
  • Assist with surety and insurance program management
  • Oversee bank account management and ensure accurate, timely cash reporting


Requirements

  • Bachelor's degree in Accounting, Finance, or a related field
  • 2-4 years of experience in treasury, corporate finance, or project finance
  • Familiarity with debt structures, covenant monitoring, and multi-entity cash management
  • Experience working with or supporting lender relationships and financing processes
  • Strong financial modeling and analytical skills
  • Highly organized with strong attention to detail and the ability to manage multiple workstreams

Preferred
  • Background in renewable energy or banking
  • Exposure to tax equity financing structures
  • Experience in a high-growth, PE-backed, or transaction-intensive environment


Who You Are
  • Eager to learn and grow within a specialized area of finance
  • Comfortable in a fast-paced, evolving environment where processes are still being built
  • Detail-oriented and disciplined, with a bias toward accuracy and follow-through
  • A strong communicator who can engage clearly with internal teams and external partners
  • Proactive and self-directed - you take ownership and don't wait to be told what to do


This role offers something that's hard to find: real exposure to complex, high-value transactions in a growing company where your work directly impacts strategy. You'll sit close to the CFO, learn from experienced finance professionals, and develop deep expertise in renewable energy project finance - a skillset that is increasingly valuable and highly transferable.
  • Direct access to CFO and executive leadership
  • Hands-on involvement in project financings, acquisitions, and capital raises
  • Opportunity to help build treasury infrastructure from the ground up
  • Competitive base salary ($100K-$120K)


Benefits

What we can offer you:
  • An Incredible Team, a Big Mission Work alongside smart, passionate people who are genuinely driven to build a cleaner energy future. We move fast, collaborate deeply, and celebrate wins together.
  • Competitive Pay that Reflects Your Expertise We value the experience you bring. The base salary range for this role is $100,000-120,000, with bonus potential. Compensation decisions are based on a thoughtful review of your background, skills, certifications, and the impact you'll bring to our growing business.
  • Benefits that Start on Day One Your health and financial well-being matter to us. That's why we offer medical, dental, and vision insurance, short-term disability, life insurance, and a 401(k) with a generous 6% company match - all available to you on the 1st of the month after your start date.
  • Real Work-Life Balance We believe great work happens when people feel supported, energized, and trusted. Our hybrid schedule gives you the structure to collaborate in person and the space to focus and recharge.
  • A Culture That Walks the Talk We're building a company where everyone belongs. Inclusion isn't a checkbox - it's woven into how we hire, grow, and work every day.

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