
Director – Treasury Management | Capital Strategy & Growth | Denver
High Country Search, Denver, CO, United States
A
world-class operator in the oilfield services space , headquartered in Denver, is expanding into
natural gas-powered generation
to support the future of reliable, lower-emission energy. This is not a steady-state treasury role. This is a chance to step into a
high-impact leadership seat
at the center of a growing power platform—partnering directly with executive leadership to fund, structure, and scale a portfolio of energy infrastructure assets.
The Opportunity The Director – Treasury Management is a key financial leader supporting the funding, development, and ongoing operations of the company’s
power generation business . This role works closely with the CFO, Corporate Controller, SVP of Power Generation, and broader finance team to ensure the organization has the capital, liquidity, and financial strategy in place to execute on its growth initiatives.
You’ll be directly involved in
project financing for new natural gas power assets —from lender evaluation and structuring through execution and ongoing compliance—while also owning corporate liquidity, capital structure, and treasury operations across the enterprise.
What You’ll Own • Lead
cash flow forecasting and liquidity strategy , ensuring the business is well-positioned to fund operations, debt service, and capital investments • Drive
project financing efforts
for power generation—lender evaluation, financial modeling, diligence, term sheet negotiation, and closing • Partner with leadership on
capital structure optimization , debt strategy, and cost of capital • Oversee
banking relationships, debt portfolio, and covenant compliance • Establish and execute
risk management strategies
(interest rate, FX, etc.) • Support
board-level reporting
on liquidity, capital structure, and financial risk • Help scale treasury infrastructure, including
TMS/ERP optimization and process buildout
Why This Role • Front-row seat to a
natural gas power buildout
within a well-capitalized operator • Direct exposure to
executive leadership and board-level discussions • Blend of
strategic finance + execution
(not just oversight) • Opportunity to
build and shape treasury
in a growing, capital-intensive business
What We’re Looking For • 7+ years of treasury experience, with public company exposure • Background in
debt, capital markets, or project finance • Strong understanding of
cash management, liquidity planning, and financial risk • CTP or CFA preferred • Ability to operate both
strategically and hands-on
in a fast-moving environment
world-class operator in the oilfield services space , headquartered in Denver, is expanding into
natural gas-powered generation
to support the future of reliable, lower-emission energy. This is not a steady-state treasury role. This is a chance to step into a
high-impact leadership seat
at the center of a growing power platform—partnering directly with executive leadership to fund, structure, and scale a portfolio of energy infrastructure assets.
The Opportunity The Director – Treasury Management is a key financial leader supporting the funding, development, and ongoing operations of the company’s
power generation business . This role works closely with the CFO, Corporate Controller, SVP of Power Generation, and broader finance team to ensure the organization has the capital, liquidity, and financial strategy in place to execute on its growth initiatives.
You’ll be directly involved in
project financing for new natural gas power assets —from lender evaluation and structuring through execution and ongoing compliance—while also owning corporate liquidity, capital structure, and treasury operations across the enterprise.
What You’ll Own • Lead
cash flow forecasting and liquidity strategy , ensuring the business is well-positioned to fund operations, debt service, and capital investments • Drive
project financing efforts
for power generation—lender evaluation, financial modeling, diligence, term sheet negotiation, and closing • Partner with leadership on
capital structure optimization , debt strategy, and cost of capital • Oversee
banking relationships, debt portfolio, and covenant compliance • Establish and execute
risk management strategies
(interest rate, FX, etc.) • Support
board-level reporting
on liquidity, capital structure, and financial risk • Help scale treasury infrastructure, including
TMS/ERP optimization and process buildout
Why This Role • Front-row seat to a
natural gas power buildout
within a well-capitalized operator • Direct exposure to
executive leadership and board-level discussions • Blend of
strategic finance + execution
(not just oversight) • Opportunity to
build and shape treasury
in a growing, capital-intensive business
What We’re Looking For • 7+ years of treasury experience, with public company exposure • Background in
debt, capital markets, or project finance • Strong understanding of
cash management, liquidity planning, and financial risk • CTP or CFA preferred • Ability to operate both
strategically and hands-on
in a fast-moving environment