We are expanding our financial capabilities to support the company’s strategic growth and international ambitions. As part of this journey, we are looking for a Head of Treasury & Project Finance to play a key role in shaping our financial infrastructure and supporting project financing initiatives in the renewable energy sector. This is a senior leadership position reporting directly to the CFO (Finance Director), offering a unique opportunity to establish and lead core treasury functions in a dynamic, fast-growing organization.
Key Responsibilities
• Lead and manage treasury operations, including daily cash positioning, liquidity planning, and bank relationship management
• Manage the issuance, renewal, and tracking of bank guarantees and other financial instruments
• Control and monitor cash flow and bookings across multiple business units and international entities
• Support and coordinate project financing activities for renewable energy initiatives
• Utilize SAP Treasury modules for transaction processing, reporting, and reconciliation
• Maintain strong relationships with both domestic and international financial institutions to support funding strategies
• Present cash reports to top management
Qualifications
• Bachelor’s or Master’s degree in Finance, Economics, or a related field
• Minimum 8 years of experience in treasury and project finance roles
• Hands-on experience with SAP Treasury modules
• Strong understanding of banking instruments
• Proven experience in renewable energy project financing is highly desirable
• Excellent communication and stakeholder management skills
• Fluency in English (both written and spoken)