Manager- Treasury
Job in
Santa Clara, Santa Clara County, California, 95053, USA
Listed on 2026-01-12
Listing for:
First Solar, Inc.
Full Time
position Listed on 2026-01-12
Job specializations:
-
Finance & Banking
Financial Manager, Corporate Finance, Risk Manager/Analyst, CFO -
Management
Financial Manager, Risk Manager/Analyst, CFO
Job Description & How to Apply Below
First Solar reserves the right to offer you a role most applicable to your experience and skillset.
BasicJob Functions:
- We are seeking a strategic and highly skilled Manager to join our Treasury team. In this advanced role, you will oversee funding and cash management for domestic and international subsidiaries, optimize global banking structures, and manage complex foreign currency and insurance responsibilities. This position demands strong treasury operations experience, leadership in financial environments, and the ability to drive cross‑functional projects. The ideal candidate will collaborate across departments, build professional relationships, and provide insights to enhance financial operations.
This role emphasizes continuous learning, adaptability, and maintaining high standards of accuracy and compliance in all financial matters.
Experience:
- Bachelor's degree in finance, Accounting, Economics, Business, or a related field is required.
- Master's degree in finance, Accounting, Economics, Business, or a related field is preferred.
- A minimum of 6 years of experience in treasury, finance, banking, or a related field is required.
- Strong knowledge of global banking operations, foreign exchange, and insurance.
- Demonstrated ability to manage multiple projects and work effectively in a dynamic environment.
- Professional certification in finance or treasury (e.g., CPA, CTP, CFA) is preferred.
Competencies:
- Strategic Thinking: Understands the business, stays updated on trends and regulations, seizes opportunities, anticipates changes, and makes strategic decisions aligned with the company's vision. Apply situational awareness to assess and respond to the financial environment dynamically, utilizing strategic thinking for long‑term financial planning.
- Analytical Aptitude: Strong analytical skills for data analysis and deriving actionable insights. Maintain a continuous learning mindset to stay updated with industry trends and adapt to new techniques.
- Collaboration and Business Partnership:
Demonstrate collaboration and business partnership skills to ensure effective teamwork across departments and ensure business readiness. Ability to innovate and develop new solutions. - Communication and Influencing: Exhibit effective communication skills to clearly convey information and engage stakeholders. Develop strong influencing skills to persuade and motivate others.
- Agility and Adaptability: Be agile, adapting quickly to changes and navigating different organizational levels.
- Accountability & Problem‑Solving: Take accountability for financial decisions and outcomes. Display excellent problem‑solving skills to address issues efficiently. Oversee and optimize financial activities through effective process and project management.
- Team Leadership: Attract, develop, and retain a high‑performing team fostering autonomy, trust, and accountability. Possess self‑awareness to understand strengths and development areas, build high‑performing teams, and mentor team members to maximize performance. Exhibit commitment and courage to lead.
- Customer Focus: Develop a deep understanding of customer needs and prioritize them in decision‑making.
Strategic Planning and Analysis:
- Plan and direct strategic activities to meet business objectives.
- Analyze variances in the treasury budget and maintain company‑wide treasury policies and internal controls.
- Identify financial risks, develop mitigation strategies, and lead investment and borrowing initiatives.
- Develop and monitor capital structures, strategic finance initiatives, and complete special projects.
- Oversee funding and cash management for domestic and international subsidiaries.
- Optimize banking infrastructure, cash management, and treasury technology with IT collaboration.
- Manage excess operating cash and daily liquidity for optimal interest revenue.
- Enhance cash flow forecasting with FP&A.
- Manage foreign exchange and interest rate risks through hedging, share repurchase, and equipment leasing.
- Advise on currency and interest rate risks and liquidity planning.
- Advise on sales and supply chain…
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