Remotely
excelinsurancebankingtreasuryoracle erporacle fusioncash forecastingd&o
Job Description
📋 Description
- Lead corporate treasury operations and risk programs.
- Manage liquidity, payments, and debt compliance.
- Oversee insurance portfolio and risk mitigation.
- Collaborate with executives on cash flow and liquidity strategy.
- Relocation assistance is available.
- Hybrid workplace with Form Energy team across locations.
🎯 Requirements
- 5–7+ years in corporate treasury/finance, with leadership
- Bachelor’s in Finance, Accounting, Economics, or related
- CTP/CFA/CPA preferred
- Advanced Excel, Oracle ERP (Fusion) experience
- Strong analytical, communication, and data-driven skills
- Ability to distill complex concepts for execs
🎁 Benefits
- Competitive salary and stock options
- Comprehensive health benefits for employees
- Paid parental leave and generous vacation
- Discretionary accommodations as needed
- Equal opportunity employer