Blue Sky Utility is seeking a highly strategic and execution-oriented Treasurer to lead the Company’s treasury function during a period of rapid growth and capital deployment. This role is critical to ensuring liquidity, optimizing capital structure, and supporting the financing and operation of a multi-state portfolio of utility-scale solar assets.
The Treasurer will serve as a key partner to the CFO and finance team, with direct responsibility for cash management, debt oversight, banking relationships, and financial risk management. This individual will play a central role in supporting project financings, managing lender relationships, and ensuring financial discipline across the organization.
This is not a passive, back-office treasury role. The Treasurer is expected to actively drive financial strategy, support transactions, and ensure the Company is positioned to scale efficiently and responsibly.
Key Responsibilities
Liquidity & Cash Management
- Manage the Company’s short- and long-term liquidity strategy across operating entities and project-level structures
- Develop and maintain rolling cash flow forecasts, including scenario planning for growth, acquisitions, and market shifts
- Optimize cash positioning across accounts, entities, and jurisdictions
Debt & Capital Structure
- Oversee all debt obligations, including construction financing, term loans, tax equity structures, and other project financing arrangements
- Monitor covenant compliance and reporting requirements across all financing agreements
- Support structuring and execution of new financings in partnership with Business Development and executive leadership
Banking & Capital Markets Relationships
- Manage relationships with banks, lenders, tax equity investors, and other capital providers
- Serve as a primary point of contact for financial institutions and external stakeholders
- Support lender reporting, audits, and ongoing diligence requirements
Project Finance & Transactions
- Partner closely with Business Development and Project Delivery teams on M&A transactions, acquisitions, and asset-level financings
- Support financial modeling, diligence, and execution of transactions
- Ensure alignment between treasury strategy and project-level financial performance
Risk Management
- Identify and manage financial risks, including interest rate exposure, counterparty risk, and liquidity constraints
- Develop and implement treasury policies, controls, and governance frameworks
- Support and manage surety and insurance plans
Systems, Controls & Reporting
- Establish scalable treasury processes and controls to support a growing organization
- Oversee cash reporting, bank account management, and treasury systems
- Ensure accurate and timely reporting to executive leadership and lenders