Treasury Manager
Job in
Denver, Denver County, Colorado, 80285, USA
Listed on 2026-07-09
Listing for:
Crusoe Energy Systems
Full Time
position Listed on 2026-07-09
Job specializations:
-
Finance & Banking
Portfolio & Asset Management, Risk Manager/Analyst, Capital Markets, Financial Analyst
Job Description & How to Apply Below
- Reporting to the Treasury Senior Manager, the Treasury Manager will serve as a senior leader within the Treasury function, owning critical work streams across investment portfolio management, interest rate risk, debt compliance, and liquidity — while managing relationships with external investment advisors and supporting the broader Treasury team
- As a high‑visibility member of the Treasury leadership team, you will drive process discipline, cross‑functional collaboration, and data‑driven decision‑making across the organization
- Drive the build‑out and oversight of banking and investment infrastructure required to support the execution of multi‑billion‑dollar projects
- Oversee the company’s investment portfolio, including day‑to‑day monitoring and management of external investment advisor relationships; ensure alignment with the Investment Policy Statement (IPS)
- Analyze interest rate market conditions and risk exposure to inform hedging strategy; support the evaluation, recommendation, and execution of derivative transactions, and ensure strict compliance with lender‑mandated hedging requirements
- Own lender debt covenant compliance across multiple SPVs and legal entities—including monitoring, reporting, and lender communications—and proactively manage covenant headroom across the company’s growing credit facility portfolio
- Design and implement a robust reporting and monitoring framework for all existing and future debt facilities, ensuring operational feasibility and risk mitigation as the debt portfolio expands
- Support liquidity forecasting efforts in partnership with Finance and key business stakeholders, ensuring capital allocation decisions are informed by rigorous and forward‑looking analysis
- Lead strategic analytical support for key initiatives across the organization, ensuring capital is deployed efficiently and risk is managed proactively
- Support Treasury cash management team activities, ensuring optimal positioning of global cash balances and the seamless execution of high‑value transactions
- Build and maintain executive‑level reporting packages, dashboards, and ad‑hoc analyses for senior leadership using Excel and Power Poin
- Health & wellbeing:
Comprehensive health benefits designed to support your overall wellness - Time away:
Paid time off for vacations, family bonding, and unexpected needs - 401(k) match:
Build your financial future with our 401(k) matching program - Mental wellness:
Resources and support for your emotional wellbeing and navigating life’s challenges
- We’re looking for problem‑solving, opportunity‑finding teammates with a sense of urgency, who believe in the scale of our ambition and thrive on a path not fully paved — people who want to grow their careers alongside a team of experts across energy, manufacturing, data center construction, and cloud services.
- This role is ideal for a deeply analytical finance professional who brings hands‑on expertise in investment oversight and interest rate hedging, and who can operate both strategically and tactically in a fast‑growing, complex environment.
- Exceptional Excel modeling skills, with the ability to create detailed and complex financial models from scratch for a variety of purposes.
- Self‑starter who can multitask and deliver in a dynamic environment under tight timelines, iterative fact‑sets, and changing priorities; must be “hands‑on.”
- Track record of successfully leading complex, cross‑functional work streams and delivering results through direct management and organizational influence.
- Positive attitude and a solutions‑focused approach.
- Highly advanced quantitative and analytical skills.
- Ability to analyze legal documents and understand the technical and accounting implications of complex transactions.
- Detail‑oriented, with a focus on accuracy and precision in financial analysis and reporting.
- Hands‑on experience with interest rate derivatives, hedging strategy development and execution, and ongoing effectiveness monitoring.
- Bachelor’s or Master’s degree in Finance, Economics, or a related field.
- Demonstrated experience overseeing investment portfolios and managing external investment advisor relationships, with strong working knowledge of fixed income.
- Strong verbal and written communication skills, including the ability to distill complex topics into manageable recommendations.
- Strong command of financial theory (economics, capital structure, WACC, derivatives, portfolio management, company valuations, etc.) and its practical applications.
- 7+ years’ experience in Treasury, Corporate Finance, or Investment Management in a fast‑paced, high‑growth environment.
- CFA Charter holder, or progress toward.
- MBA, Master of Finance, or equivalent experience.
- Knowledge of Bloomberg modeling tools and API syntax.
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