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Head of Treasury

Job in Georgetown, Scott County, Kentucky, 40324, USA
Listing for: Sunlight Group
Full Time position
Listed on 2026-07-24
Job specializations:
  • Finance & Banking
    Corporate Finance, Risk Manager/Analyst, Financial Manager, CFO
  • Management
    Risk Manager/Analyst, Financial Manager, CFO
Salary/Wage Range or Industry Benchmark: 159853 - 228362 USD Yearly USD 159853.00 228362.00 YEAR
Job Description & How to Apply Below

At Sunlight Group, we are shaping the future of energy storage for industrial and advanced technology applications, driven by a strong passion for performance and continuous improvement. Guided by our vision of transforming energy storage solutions to power a sustainable tomorrow, we operate with a deep sense of environmental responsibility and a culture rooted in openness and respect
. By leveraging data and insights, we deliver innovative,
customer-focused solutions that support our mission of driving an all-electric future through high-quality, cutting-edge technologies. Embracing an entrepreneurial spirit
, we foster an agile and collaborative environment where our people are empowered to grow, contribute, and reach their full potential.

Due to continuous growth and expansion, Sunlight Group offers a great opportunity for career development and is seeking to attract a Head of Treasury to join our Finance team at Sunlight’s Athens premises. The role holds overall responsibility for defining and leading the Group’s treasury strategy, covering liquidity and cash management, funding and capital structure, financial risk management, banking relationships and treasury operations across its international footprint.

Reporting directly to the CFO, the position combines strategic leadership with hands‑on execution and collaborates closely with Group entities, senior management and key internal and external stakeholders.

Key activities and responsibilities of this role include:
  • Defines and leads the Group’s treasury strategy, ensuring alignment with the Group’s financial objectives and providing strategic advice to the CFO on liquidity, funding and financial risk matters.
  • Holds overall responsibility for the Group’s liquidity and cash management, optimizing cash positions and ensuring the efficient utilization of available liquidity across all entities.
  • Oversees short-, medium- and long-term cash flow forecasting, liquidity planning, cash concentration, cash pooling and working capital optimization.
  • Leads the Group’s financing activities, including syndicated facilities, bilateral loans, revolving credit facilities and other funding arrangements, and shapes the Group’s funding and capital structure strategy.
  • Leads financing transactions and negotiations, providing financial analysis, market intelligence and treasury expertise, while ensuring compliance with financing agreements, reporting obligations and financial covenants.
  • Defines and oversees the Group’s foreign exchange and interest rate risk management framework, including the design, approval and execution of appropriate hedging strategies.
  • Monitors financial market developments, assesses their impact on the Group’s financial position and provides recommendations to the CFO and Executive Management.
  • Owns and develops the Group’s relationships with banking partners, lenders, financial advisors, legal counsel and other external stakeholders, overseeing treasury services, guarantees, letters of credit and other banking products.
  • Ensures efficient, secure and well‑controlled treasury operations across the Group, including bank account management, electronic banking platforms, payment infrastructure, treasury systems and access controls.
  • Establishes and maintains treasury policies, procedures, internal controls and governance standards, ensuring compliance with applicable regulatory and corporate requirements.
  • Leads the continuous improvement, automation and digital transformation of the Group’s treasury function.
  • Provides treasury reporting and recommendations to the CFO, Executive Management, Audit Committee, Board of Directors, lenders and shareholders, and leads the treasury workstream for acquisitions, divestments, corporate restructurings and other strategic initiatives.
Qualifications
  • Bachelor’s degree in Finance, Economics, Accounting, Business Administration, Mathematics, Engineering or a related field.
  • A Master’s degree and/or a relevant professional qualification, such as CFA, ACT, CTP or ACCA, will be considered a strong asset.
  • At least 10 years of relevant experience in corporate treasury, corporate finance, banking or financial risk management,…
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