{"schemaVersion":"jobsearcher.job.v1","id":"e16b99ac00f7d9a2c5232e38","url":"https://jobsearcher.com/jobs/e16b99ac00f7d9a2c5232e38","canonicalUrl":"https://jobsearcher.com/jobs/e16b99ac00f7d9a2c5232e38","title":"Sr. Treasury Manager","description":"Position Overview:\nSolid Power is seeking a Sr. Treasury Manager to join our talented team of engineers and scientists working to revolutionize the battery industry through the development of next‐generation, all solid‐state rechargeable batteries. Solid Power is a dynamic, fast‐paced, collaborative, and innovative team environment. The preferred candidate will have a minimum of five years of treasury management experience in supporting a treasury function and managing the organization's liquidity, cash flow, and financial risk management. The ideal candidate will have a proven track record in treasury management, and strategic financial planning. This role is crucial for optimizing cash resources, ensuring financial stability, and supporting the company's growth objectives.\nJob Duties:\nCash Management: Oversee daily cash operations, including cash positioning, forecasting, and liquidity management to ensure optimal cash levels are maintained.\nTreasury Strategy: Develop and implement treasury strategies that align with corporate objectives, including cash management, investment strategies, and risk management.\nRisk Management: Identify and manage financial risks, including interest rate, foreign exchange, and credit risks. Develop hedging strategies and monitor their effectiveness.\nBanking Relationships: Establish and maintain relationships with domestic and global banking partners. Negotiate terms and manage credit facilities to optimize financial arrangements and support business needs.\nInvestment Management: Oversee short-term investments and funding arrangements, ensuring alignment with corporate risk and return profiles.\nPartner Debt Management: Manage loans resulting from business partnerships or collaborations.\nFinancial Analysis: Conduct in-depth financial analysis and reporting. Provide actionable insights and recommendations to senior management and stakeholders.\nRegulatory Compliance: Ensure compliance with financial regulations and internal policies. Implement controls to mitigate financial and operational risks.\nProcess Improvement: Continuously assess and improve treasury processes, including the integration of advanced financial systems and technologies.\nQualifications/ Requirements:\nBachelor's degree in finance, accounting, economics, or a related field. Master's degree in business administration (MBA) or finance is preferred.\nMinimum of 5 years of experience in treasury management or treasury services at a financial institution.\nAdvanced knowledge of cash management, financial risk management, and debt management.\nStrong analytical and financial modeling skills.\nProficiency in treasury management systems (TMS) and financial software.\nExcellent communication, negotiation, and interpersonal skills.\nProven leadership abilities and experience in managing and developing teams and external relationships.\nAbility to work effectively under pressure and manage multiple priorities.\nAbility to work a hybrid schedule (about 2 to 3 days a week at our Thornton office).\n\nPhysical Requirements (with or without accommodation):\nProlonged periods of sitting at a desk.\nWhile performing the duties of this job, the employee may be regularly required to sit, stand, talk, hear, reach, stoop, kneel and use hands and fingers to operate a computer, telephone, and keyboard.\nSpecific vision abilities required by this job include close vision requirements due to computer work.\nSalary Range: $101,000 - $162,000 annually\nBenefits: Solid Power offers a comprehensive benefits package that includes medical/dental/vision insurance, employer-paid Life/AD&D/STD/LTD insurance, 401k with company match, paid holidays, unlimited PTO, cell phone reimbursement, and participation in the Company bonus/equity plan.\nAll offers of employment at Solid Power are contingent upon clear results of a thorough background check.\nPlease no soliciting from staffing agencies. Thank you!\nThe employer will not sponsor applicants for work visas.\n#LI-Hybrid\n#LI-RM1","company":"Solid Power","rawCompany":"solid power","city":"Thornton","state":"CO","isRemote":false,"isActive":false,"createdAt":"2026-04-12T20:34:52.610Z","occupations":[{"code":"11-3031.01","title":"Treasurers and Controllers","slug":"treasurers-and-controllers"},{"code":"11-3031.00","title":"Financial Managers","slug":"financial-managers"},{"code":"13-2099.00","title":"Financial Specialists, All Other","slug":"financial-specialists-all-other"}],"industries":[{"code":"551114","title":"Corporate, Subsidiary, and Regional Managing Offices","slug":"corporate-subsidiary-and-regional-managing-offices"},{"code":"921130","title":"Public Finance Activities","slug":"public-finance-activities"},{"code":"335910","title":"Battery Manufacturing","slug":"battery-manufacturing"}],"jobPosting":{"@context":"https://schema.org","@type":"JobPosting","title":"Sr. Treasury Manager","description":"Position Overview:\nSolid Power is seeking a Sr. Treasury Manager to join our talented team of engineers and scientists working to revolutionize the battery industry through the development of next‐generation, all solid‐state rechargeable batteries. Solid Power is a dynamic, fast‐paced, collaborative, and innovative team environment. The preferred candidate will have a minimum of five years of treasury management experience in supporting a treasury function and managing the organization's liquidity, cash flow, and financial risk management. The ideal candidate will have a proven track record in treasury management, and strategic financial planning. This role is crucial for optimizing cash resources, ensuring financial stability, and supporting the company's growth objectives.\nJob Duties:\nCash Management: Oversee daily cash operations, including cash positioning, forecasting, and liquidity management to ensure optimal cash levels are maintained.\nTreasury Strategy: Develop and implement treasury strategies that align with corporate objectives, including cash management, investment strategies, and risk management.\nRisk Management: Identify and manage financial risks, including interest rate, foreign exchange, and credit risks. Develop hedging strategies and monitor their effectiveness.\nBanking Relationships: Establish and maintain relationships with domestic and global banking partners. Negotiate terms and manage credit facilities to optimize financial arrangements and support business needs.\nInvestment Management: Oversee short-term investments and funding arrangements, ensuring alignment with corporate risk and return profiles.\nPartner Debt Management: Manage loans resulting from business partnerships or collaborations.\nFinancial Analysis: Conduct in-depth financial analysis and reporting. Provide actionable insights and recommendations to senior management and stakeholders.\nRegulatory Compliance: Ensure compliance with financial regulations and internal policies. Implement controls to mitigate financial and operational risks.\nProcess Improvement: Continuously assess and improve treasury processes, including the integration of advanced financial systems and technologies.\nQualifications/ Requirements:\nBachelor's degree in finance, accounting, economics, or a related field. Master's degree in business administration (MBA) or finance is preferred.\nMinimum of 5 years of experience in treasury management or treasury services at a financial institution.\nAdvanced knowledge of cash management, financial risk management, and debt management.\nStrong analytical and financial modeling skills.\nProficiency in treasury management systems (TMS) and financial software.\nExcellent communication, negotiation, and interpersonal skills.\nProven leadership abilities and experience in managing and developing teams and external relationships.\nAbility to work effectively under pressure and manage multiple priorities.\nAbility to work a hybrid schedule (about 2 to 3 days a week at our Thornton office).\n\nPhysical Requirements (with or without accommodation):\nProlonged periods of sitting at a desk.\nWhile performing the duties of this job, the employee may be regularly required to sit, stand, talk, hear, reach, stoop, kneel and use hands and fingers to operate a computer, telephone, and keyboard.\nSpecific vision abilities required by this job include close vision requirements due to computer work.\nSalary Range: $101,000 - $162,000 annually\nBenefits: Solid Power offers a comprehensive benefits package that includes medical/dental/vision insurance, employer-paid Life/AD&D/STD/LTD insurance, 401k with company match, paid holidays, unlimited PTO, cell phone reimbursement, and participation in the Company bonus/equity plan.\nAll offers of employment at Solid Power are contingent upon clear results of a thorough background check.\nPlease no soliciting from staffing agencies. Thank you!\nThe employer will not sponsor applicants for work visas.\n#LI-Hybrid\n#LI-RM1","datePosted":"2026-04-12T20:34:52.610Z","dateModified":"2026-04-12T20:34:52.610Z","hiringOrganization":{"@type":"Organization","name":"Solid Power","sameAs":"https://jobsearcher.com"},"jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Thornton","addressRegion":"CO","addressCountry":"US"}},"identifier":{"@type":"PropertyValue","name":"JobSearcher","value":"e16b99ac00f7d9a2c5232e38"},"url":"https://jobsearcher.com/jobs/e16b99ac00f7d9a2c5232e38"}}