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Peak Energy

Treasury Manager

加入Peak Energy,担任菲律宾马尼拉财务经理,负责全球资金管理、现金流预测及外汇对冲。公司由Stonepeak支持,专注亚洲可再生能源项目。

Peak Energy

公司概况

Peak Energy

美国科罗拉多州丹佛市

2023年

约100名员工(来源:linkedin.com)。2024财年的收入为1390万美元(来源:peakenergy.com)。

他们的业务

Peak Energy是一家位于美国的先锋公司,专注于钠离子电池技术,旨在提供电网规模的能源存储解决方案。公司由行业资深人士Landon Mossburg和Cameron Dales创立,致力于将这一创新技术工业化,以提供比传统锂离子电池更安全、更具成本效益的替代方案。他们的使命是将能源存储成本降低多达50%,同时提高可靠性和安全性,使其成为能源存储市场的强大参与者(来源:peakenergy.com)。

项目与业绩

Peak Energy在能源存储领域取得了显著进展,包括在2024年9月在加利福尼亚州投入使用并测试其A1系统。此外,公司计划在2025年8月之前在科罗拉多州部署全球首个被动冷却的电网规模钠离子能源存储系统。这些项目突显了Peak Energy对创新的承诺以及与领先独立电力生产商的战略合作伙伴关系,这将促进从2025年开始的试点部署(来源:peakenergy.com)。

近期发展

在2024年6月,Peak Energy成功获得5500万美元的A轮融资,旨在加快钠离子系统的生产并支持其首个美国千兆规模钠离子电池工厂的建立,预计将在2027年开业。这是在2023年10月从隐身模式首次推出后,成功筹集1000万美元种子资金的后续发展。这些进展突显了Peak Energy的快速增长和对未来的雄心勃勃的计划(来源:peakenergy.com)。

在这里工作

作为一家快速发展的公司,Peak Energy提供了一个充满活力的工作环境,为对前沿电池技术和能源解决方案感兴趣的专业人士提供机会。公司经历了141%的年增长率,显示出强劲的招聘策略和扩展员工队伍的承诺。然而,关于部门结构和员工福利的具体细节目前有限,因此建议潜在候选人在申请过程中直接咨询(来源:peakenergy.com)。


最后更新于 2月 23, 2026 | 报告问题

Peak Energy is wholly owned by Stonepeak, one of the world's largest alternative investment firms specializing in infrastructure and real assets, with over USD 80 billion in assets under management. This financial strength, combined with our deep local market relationships, allows us to optimize capital deployment into high-quality assets.

With over 300 MW of operating assets and 1 GW of projects in development across Japan, Korea, Australia, Taiwan, the Philippines, Thailand, Singapore and Indonesia. We are greenfield developers at heart, but we also partner flexibly with industrials, developers, and investors to accelerate delivery and scale impact.

Backed by Stonepeak, we combine the customer focus of a developer, the technical expertise of an EPC and the financial strength of a heavyweight institution - enabling clients to meet decarbonisation targets on time, on budget, and without risk of delivery failure.

Our clients can expect clean energy solutions delivered on time, on budget, and at scale - with no surprises. Let's partner together to support your sustainability journey.

Job Summary

We are seeking a strategic and detail-oriented Regional Treasury Accountant/Manager to oversee our global treasury operations. This role is critical in optimizing liquidity, managing financial risks, and ensuring seamless cross-border transactions. The ideal candidate will have expertise in cash flow forecasting, foreign exchange (FX) hedging, intercompany financing, and banking relationships. You will play a pivotal role in safeguarding financial stability and driving operational efficiency across the organization.

Key Responsibilities

1. Cash Flow Management

Lead daily cash positioning, short-term liquidity forecasting, and long-term cash flow projections. Develop models to monitor and analyze cash flow trends, identifying risks and opportunities. Prepare monthly cash flow variance reports and present actionable insights to senior leadership.

2. Foreign Exchange (FX) Hedging

  • Design and execute FX hedging strategies to mitigate currency exposure risks. Monitor global currency markets and assess impact on financial performance. Collaborate with internal stakeholders to align hedging activities with business objectives.

3. Payment Operations & Intercompany Management

  • Oversee cross-border payments, ensuring compliance with local regulations and optimizing transaction costs. Manage intercompany recharge processes, including reconciliations and settlement of balances. Streamline intercompany loan agreements and interest calculations.

4. Banking Relationships

  • Serve as the primary liaison for banking partners, negotiating terms, fees, and services. Evaluate and onboard new banking platforms to enhance operational efficiency. Monitor bank performance and ensure compliance with service-level agreements (SLAs).

5. Compliance & Risk Management

  • Ensure adherence to internal controls, accounting standards (e.g., IFRS), and regulatory requirements. Implement treasury policies to mitigate fraud, counterparty, and operational risks. Support audits and provide documentation for treasury-related activities.

6. Other Strategic Projects

  • Partner with Tax, Legal, and FP&A teams on M&A integration, capital structure optimization, and system implementations. Drive automation initiatives (e.g., TMS implementation, payment workflows). Ad-hoc support in new entity setup formation.

Qualifications

  • Education: Bachelor's degree in finance, Accounting, Economics, or related field.
  • Experience: At least 3 years in treasury, cash management, or corporate finance, with expertise in FX hedging and cash forecasting.
  • Certifications: CPA, CFA, MBA, or similar credentials preferred.
  • Technical Skills: Proficiency in ERP systems (e.g., SAP, Microsoft Dynamics), treasury management software, and advanced Excel.
  • Personal Attributes: Strong analytical, communication, and leadership abilities; adept at managing cross-functional teams. Ability to work under pressure and manage multiple priorities in a fast-paced environment. Collaborative team player with the ability to manage cross-functional relationships effectively.

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职位详情

2026年3月21日

全职

公司

2026年3月21日

现场

Peak Energy

peakenergy.asia

  •  马尼拉,菲律宾

At least 3 years in treasury, cash management, or corporate finance

UTC+08:00