×
Register Here to Apply for Jobs or Post Jobs. X

Sr. Treasury Manager – Capital Markets

Job in Arlington, Tarrant County, Texas, 76000, USA
Listing for: Priority Power
Full Time position
Listed on 2026-01-12
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager, Risk Manager/Analyst, Financial Consultant
  • Management
    Financial Manager, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 80000 - 100000 USD Yearly USD 80000.00 100000.00 YEAR
Job Description & How to Apply Below

Who We Are

Priority Power is an independent energy management services and consulting firm. We act as an extension of our client’s staff to develop and implement strategies that mitigate risk and overcome challenges associated with managing energy data, supply, demand, and delivery infrastructure. By leveraging our deep experience and resources, combined with unsurpassed commitment, Priority delivers financial and operational improvements to our clients as their trusted energy advisors.

Our

Mission

Our mission is to lead the energy transition with innovative client‑focused solutions built upon integrity, trust, and transparency.

Position Summary

The Senior Treasury Manager – Capital Markets will play a key role in supporting Priority Power’s debt capital markets and treasury operations activities. This individual will be responsible for maintaining credit agreement compliance, managing liquidity through cash forecasting, supporting treasury operations, evaluating financing strategies, supporting execution of capital markets transactions, providing insights to optimize the company’s capital structure, and managing customer credit and KYC.

The ideal candidate will bring strong analytical and financial modeling skills, deep knowledge of financial instruments and their agreements, and experience navigating complex capital markets to support the company’s growth and strategic objectives.

Key Responsibilities
  • Debt Capital Markets Strategy & Execution
    • Manage debt financing initiatives, including financial modeling and creation of materials to support new issuance or refinancing of existing credit facilities.
    • Partner with FP&A, accounting and commercial teams to develop materials in support of debt issuance or refinancing.
    • Lead credit agreement compliance through mastery of existing agreements and creation of compliance materials including covenant calculations and operating reports.
    • Analyze capital structure and recommend strategies to optimize cost of capital.
    • Develop and strengthen relationships with new and existing lenders, rating agencies, and financial advisors.
  • Treasury Operations & Liquidity Management
    • Monitor daily liquidity and short‑term funding requirements.
    • Develop cash forecasting models to improve working capital efficiency.
    • Partner with FP&A, accounting and commercial business units to develop cash forecast inputs to improve and maintain accuracy.
    • Support bank account administration and weekly and ad‑hoc payment requests in line with established treasury policy.
    • Develop and strengthen relationships with new and existing treasury banks.
    • Manage investment of excess cash balances in accordance with company policy.
  • Risk Management
    • Evaluate and implement hedging strategies for interest rate, foreign exchange, and commodity exposures, as needed.
    • Track market trends and provide insights to senior leadership on financial risks.
    • Ensure compliance with treasury policies, procedures, and internal controls.
    • Support management and administration of the company’s insurance policies.
    • Manage customer credit evaluation and KYC processes.
  • Financial Analysis & Reporting
    • Prepare and present treasury reports to senior leadership and the board, as needed.
    • Conduct scenario modeling and sensitivity analysis to support strategic decisions, as needed.
    • Support annual budget and long‑term planning processes by developing treasury inputs.
  • M&A Execution and Integration
    • Develop funds flows and sources and uses to document and execute M&A and other commercial transactions.
    • Support the integration of acquired businesses by incorporating acquired cash flows and funding needs into the cash forecast and transitioning banking services to our existing treasury banks.
Requirements
  • Bachelor’s degree in finance, economics, accounting, or related field; investment banking/credit underwriting experience preferred.
  • 3–5 years of progressive banking, capital markets, or corporate finance experience.
  • Strong understanding of capital markets, financial instruments, and treasury operations.
  • Credit training program and credit underwriting experience a plus.
  • Experience in power, renewables or infrastructure industries a plus.
  • Advanced Excel and financial modeling
To View & Apply for jobs on this site that accept applications from your location or country, tap the button below to make a Search.
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).
 
 
 
Search for further Jobs Here:
(Try combinations for better Results! Or enter less keywords for broader Results)
Location
Increase/decrease your Search Radius (miles)

Job Posting Language
Employment Category
Education (minimum level)
Filters
Education Level
Experience Level (years)
Posted in last:
Salary
 
Learn4Good is currently undergoing necessary server maintenance.
We hope to have the Login & Registration options back in 5 minutes, and apologize for any inconvenience.