Treasurer
Treasury
- Strategic Leadership & Collaboration:
- Lead the treasury function
- Set direction for liquidity planning, cash policy, and financial risk management
- Partner with Accounting, FP&A, Legal, and project teams to ensure alignment of cash strategies with operational and long-term program needs
- Present clear, actionable insights to senior leadership on cash position, liquidity risks, and funding requirements
- Cash Management & Liquidity Oversight:
- Direct daily cash positioning and liquidity management across multiple legal entities and bank relationships
- Optimize cash utilization while ensuring adequate funding for operations and major capital projects
- Oversee cash concentration, intercompany transfers, and bank account structure
- Cash Flow Forecasting & Reporting:
- Build and maintain short- and long-term cash flow forecasts, integrating inputs from FP&A, project teams, and Accounting
- Monitor long-term obligations (LTO) and capital project cash requirements
- Provide ongoing visibility into cash burn, liquidity outlook, and funding milestones
- Foreign Currency Management:
- Maintain foreign currency exposures associated with international vendors, contracts, foreign subsidiaries and project activities
- Implement operational (non-derivative) strategies such as currency matching, payment timing, and natural hedging
- Provide analysis on FX impacts affecting program cost and funding
- Banking Structure & Relationship Management:
- Manage domestic and international banking partners, ensuring optimal account structure, service levels, and payment execution
- Lead bank onboarding, KYC compliance, and ongoing evaluation of banking services
- Capital Project Support:
- Partner with project finance teams to align cash disbursements with project schedules and funding milestones
- Track and analyze cash utilization across reactor development and other large-scale programs
- Support financing activities and provide treasury input for project planning
- Controls, Compliance & Process Improvement:
- Maintain strong treasury controls for payments, cash handling, and reporting
- Ensure compliance with internal policies and requirements applicable to a nuclear/energy environment
- Continuously evaluate forecasting, reporting, and treasury processes to improve accuracy, scalability, and efficiency
About the Role
TerraPower is a nuclear technology company based in Bellevue, Washington. At its core, the company is working to raise living standards globally through a more affordable, secure, and environmentally friendly form of nuclear energy along with innovations in medical isotopes to improve human health. In 2006, TerraPower originated with Bill Gates and a group of like-minded visionaries who evaluated the fundamental challenges to raising living standards around the world. They recognized energy access was crucial to the health and economic well-being of communities and decided that the private sector needed to take action and create energy sources that would advance global energy deployment. TerraPower's mission is to be a world leader in new nuclear technologies, while developing innovators and future leaders in the nuclear field. As a result, the company's activities in the fields of nuclear energy and related sciences are yielding significant innovations in the safety and economics of nuclear power, hybrid energy and medical applications – all for significant human health benefits.
Qualifications
- Bachelor's degree in Finance, Accounting, or related field
- 12+ years treasury or corporate finance experience with deep cash management and forecasting expertise
- Experience building and maintaining multi-entity cash flow forecasting processes
- Experience managing foreign currency exposure using non-derivative strategies
- Strong understanding of liquidity management, banking structure, and internal controls
- Advanced Excel and analytical skills
- Highly effective communicator capable of advising senior leadership
Skills
- Strategic Leadership & Collaboration
- Cash Management & Liquidity Oversight
- Cash Flow Forecasting & Reporting
- Foreign Currency Management
- Banking Structure & Relationship Management
- Capital Project Support
- Controls, Compliance & Process Improvement
Benefits
- Competitive Compensation
- Comprehensive Medical and Wellness Benefits
- Medical, Vision, Dental, Life and Disability
- Gender Affirmation Benefits
- Parental Leave
- 401k Plan
- Generous Paid Time Off (PTO)
- Generous Holiday Schedule
- Relocation Assistance
- Professional and Educational Support Opportunities
Pay
- $196,537 – $294,806
Schedule
- Standard and/or sitting working environment of >8 hours/day
- Minimal, with ability to safely lift up to 25 pounds
- Prolonged