Oglethorpe Power Corporation

Treasury Manager - Cash Management & Investments

Oglethorpe Power Corporation$110K — $130K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Finance, Accounting, Business, or related field; MBA is a plus.
  • At least 10 years of direct treasury or financial operations experience.
  • Experienced in public companies with SEC reporting and SOX controls.
  • Strong knowledge of commercial paper programs and liquidity management.
  • Advanced Excel and PowerPoint skills; familiarity with Infor FSM/CloudSuite is a plus.
  • Ability to manage competing priorities with minimal oversight.
  • Excellent communication skills for collaboration with various stakeholders.

Responsibilities

  • Lead daily cash management and liquidity activities, including cash positioning and investments.
  • Manage short- and extended-term investments according to corporate and Board guidelines.
  • Administer nuclear decommissioning trust and major maintenance reserve accounts with various partners.
  • Maintain banking relationships and manage KYC documentation and treasury tools.
  • Prepare reports on liquidity, investments, and commercial paper for management and Audit Committee.
  • Support budget forecasting, fair-value disclosures, audits, and compliance reporting.
  • Identify process improvement opportunities within treasury operations.

Benefits

  • Opportunity to make a significant impact on financial strategies for a major energy organization.
  • Hands-on role balancing daily execution with strategic oversight in a complex environment.
  • Limited travel requirements, providing a more stable work-life balance.
Full Job Description
Tucker, GA | Onsite

Treasury plays a direct role in supporting reliable, affordable power for Georgia's electric membership cooperatives. We are looking for an experienced treasury professional to help steward the liquidity, investments, banking relationships, and financial controls behind that mission.

This is a high-impact, hands-on role for someone who enjoys the balance of daily execution and strategic financial oversight. You will manage corporate cash positioning, short-term investments, commercial paper activity, and critical reporting-while partnering with senior leaders, Accounting, Planning, investment managers, banks, trustees, and auditors.

If you bring sound judgment, exceptional attention to detail, and a strong sense of fiduciary responsibility, this is an opportunity to make a meaningful impact in a complex, highly regulated environment.

What You'll Do
  • Lead daily cash management and liquidity activities, including cash positioning, electronic funds transfers, commercial paper needs, and excess-cash investment decisions.
  • Manage short- and extended-term investment activity in accordance with corporate guidelines, Board policies, liquidity needs, and return objectives.
  • Administer nuclear decommissioning trust investments and major maintenance reserve accounts in partnership with investment managers, consultants, trustees, custodians, and internal stakeholders.
  • Maintain and strengthen banking relationships, account administration, authorized signer records, KYC documentation, and treasury-management tools.
  • Prepare recurring liquidity, investment, commercial paper, and executive-level reports for Accounting, Planning, executive management, and the Audit Committee.
  • Support cash-flow forecasting, corporate budget assumptions, quarterly fair-value disclosures, SEC filings, internal and external audits, SOC 1 reporting, and policy compliance.
  • Identify opportunities to improve processes and use technology to reduce manual work while maintaining strong internal controls.

What You'll Bring
  • Bachelor's degree in Finance, Accounting, Business, or a related field; MBA is a plus.
  • At least 10 years of direct treasury, cash-management, or related financial operations experience.
  • Experience working in a public-company, SEC-reporting, SOX-controlled, or similarly rigorous financial environment.
  • Strong working knowledge of commercial paper programs, short-term investment products, liquidity management, bank credit facilities, and financial reporting requirements.
  • Advanced Excel skills and strong PowerPoint capability, with comfort using treasury workstations, online banking platforms, and ERP or financial systems. Experience with Infor FSM/CloudSuite is a plus.
  • The ability to manage competing priorities with accuracy, discretion, initiative, and minimal oversight.
  • Clear, confident communication skills and the ability to build productive relationships across internal and external stakeholders.
  • CTP or another relevant financial certification is preferred.

Why This Role Matters

You will help safeguard and optimize the financial resources that support one of Georgia's largest energy organizations. Your work will influence daily liquidity, investment strategy, governance, financial reporting, and the systems and controls that enable Oglethorpe Power to serve its members with confidence.

This position is based onsite at our Tucker, Georgia headquarters, with limited travel (approximately 5%).

About Oglethorpe Power Corporation

Oglethorpe Power Corporation is a power supply cooperative headquartered in Tucker, Georgia. It is one of the largest power supply cooperatives in the United States, serving 38 electric membership corporations (EMCs) in Georgia. Oglethorpe Power was established in 1974 and is owned by its 38 member EMCs. The company generates electricity from a diverse mix of resources, including natural gas, coal, nuclear, hydroelectric, and solar. Oglethorpe Power is committed to providing reliable, affordable, and environmentally responsible power to its member EMCs and their customers.
Learn more about Oglethorpe Power Corporation
Size
1,100 employees
Industry
Net Income
$50 million
Founded
1974
5 Year Trend
+2%
Revenue
$1.5 billion
NASDAQ

Similar Jobs

More Jobs at Oglethorpe Power Corporation

More Finance & Insurance Jobs

Find similar Treasury Manager - Cash Management & Investments jobs: