
Treasury Manager
Blue Sky Utility
Posted 3 days ago
Role Overview
Blue Sky Utility/Nofar USA is a fast-growing renewable energy platform developing and operating utility-scale solar assets across the U.S. 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
Why Blue Sky Utility/Nofar USA
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)
- Be part of a mission-driven team scaling clean energy across the U.S.
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.
Job details
Workplace
Office
Location
Fort Lauderdale, Florida, United States
Experience
SE
Salary
100k - 120k USD
per year
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