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Treasury & Finance Manager (Renewable Energy)

caliber8

Singapore

On-site

SGD 120,000 - 180,000

Full time

5 days ago
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Job summary

An opportunity exists for a Treasury & Finance Manager in a dynamic renewable energy company. This role involves managing liquidity, funding processes, and preparing high-level financial reports while supporting strategic decision-making across regional operations. Candidates should possess strong analytical skills and extensive experience in treasury management.

Qualifications

  • Minimum of 8-10 years experience in treasury, corporate finance, or FP&A.
  • Experience in asset-heavy sectors like energy, infrastructure, or industrials is preferred.
  • Ability to navigate cross-border cash operations.

Responsibilities

  • Manage group liquidity and cash needs across regional entities.
  • Support structuring internal and external financing arrangements.
  • Build cash flow forecasts and contribute to strategic planning.

Skills

Analytical skills
Advanced Excel proficiency
Proactive mindset

Job description

Treasury & Finance Manager (Renewable Energy)

Join a fast-growing organisation in the energy transition space. This role offers a unique opportunity to work at group level with exposure to regional operations, funding activities, and senior-level reporting across multiple jurisdictions.

Key Responsibilities:

Cash & Working Capital Management

  • Drive day-to-day oversight of group liquidity and cash needs across a network of regional entities
  • Coordinate internal and external cash movements, ensuring timely funding support for operational teams
  • Liaise with finance and project teams to assess working capital requirements across cycles

Funding & Capital Support

  • Support the structuring and execution of internal and external financing arrangements
  • Prepare funding documentation and coordinate with legal and external lenders as required
  • Maintain oversight of ongoing debt obligations, interest schedules, and compliance milestones

Financial Planning & Senior Reporting

  • Build and refine cash flow forecasts and funding models at a group and entity level
  • Assist in the preparation of board-level reporting, scenario analysis, and shareholder updates
  • Consolidate group-wide financial data and contribute to strategic planning cycles

Banking & Risk Coordination

  • Engage with financial institutions to support ongoing banking relationships
  • Track currency and interest rate exposures; propose appropriate mitigation strategies
  • Support the leadership team with insight into financial risk factors across operating regions

Key Requirements:

  • Minimum of 8-10 years of experience in a regional treasury, corporate finance, or FP&A capacity
  • Background in asset-heavy sectors such as energy, infrastructure, or industrials preferred
  • Experience navigating cross-border cash operations and intercompany funding structures
  • Strong analytical skills, advanced Excel proficiency, and a proactive mindset
  • Confidence working independently in a high-growth, evolving environment

Singapore PR or citizen only.

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