Head of Treasury

Posted Yesterday
Be an Early Applicant
Hiring Remotely in United States
Remote
208K-234K Annually
Senior level
Artificial Intelligence • Energy • Industrial • Infrastructure as a Service (IaaS)
The Role
Lead corporate treasury operations, manage daily cash positioning, liquidity forecasting, and accounts payable. Oversee trade finance (Letters of Credit, guarantees), administer the Kyriba TMS and ERP integrations, enforce SOX-compliant controls, negotiate bank relationships, and build a high-performing treasury team to optimize capital allocation for large-scale energy and infrastructure projects.
Summary Generated by Built In

We’re a team of friends bound together by a mission to preserve our planet for future generations through innovative energy solutions and modern infrastructure. Intersect develops, constructs, and operates the most ambitious power and data center infrastructure in the country by co-locating industrial demand with dedicated gas and renewable power generation.

 

Intersect was acquired by Google in March 2026 and operates as an independent subsidiary. We are developing and constructing multiple gigawatts of energy and data center projects in the U.S., enabling more data center and generation capacity to come online faster. We’re on an aggressive growth trajectory and looking for people hungry to tackle the largest energy challenges on the planet.

 

Location & Team Gatherings

 

Intersect has been a fully flexible workplace since its founding in 2016.  We’ve been very intentional about the way we do things. We are not work-from-home, hybrid, or in-office - we are any and all of those options! Deepening social connections and offering shared experiences is a cornerstone of the way we work. We connect as a team at our Team Week experiences four times a year and at our recently established Hub locations - SF Bay Area, NYC Metro Area, NY; Denver, CO; Austin, TX; Calgary, AB; and Toronto, ON.

 

We are currently looking for candidates located within 60 miles of any of the listed hubs to foster more in-person connections while maintaining our flexible remote culture.


About This Role

As the Head of Treasury on Intersect's Corporate Finance team, you will serve as a foundational leader responsible for strengthening our core cash management processes, accounts payable execution, and liquidity forecasting. You will dive directly into the operational details to build robust structures, driving continuous process improvement while overseeing utilization of our corporate credit facilities and the issuance of non-cash liquidity instruments. Partnering closely with internal accounting, IT, and external banking stakeholders, your leadership will directly safeguard and optimize capital allocation across our portfolio.

 

Team Overview

This team plays a critical role in advancing Intersect's mission to accelerate the clean energy transition. By managing corporate liquidity and maintaining institutional trust with financial partners, the Corporate Finance Team ensures that our large-scale power infrastructure projects remain robustly capitalized and operational. Joining this team means shaping an institutional-grade treasury function, mentoring dedicated finance professionals, and growing alongside a collaborative organization focused on long-term value creation.

 

What You'll Do

Optimize Corporate Liquidity and Cash Operations

  • Manage daily cash positioning, cash concentration structures, bank administration, and working capital initiatives to optimize efficiency.

  • Lead corporate cash flow, liquidity, and collateral forecasting models, partnering with FP&A and Capital Markets to deliver strategic insights.

  • Oversee accounts payable and T&E processes, ensuring timely disbursements through diverse payment rails while maintaining strong control frameworks.

 

Manage Credit Support and Trade Finance Lifecycle

  • Oversee the end-to-end execution of Letters of Credit, Parent Guarantees, and other non-cash liquidity products.

  • Ensure swift intake, structuring, approval, and renewal of credit instruments while maximizing facility capacity for commercial objectives.

  • Monitor counterparty exposures, covenants, and credit utilization metrics to minimize operational risk.

 

Champion Treasury Technology and Governance

  • Serve as the system sponsor for the Kyriba Treasury Management System, driving platform optimization, automation, and ERP integrations.

  • Enforce a robust control environment in compliance with SOX requirements, corporate policies, and fiduciary obligations.

  • Own and refine enterprise treasury policies covering short-term investments, bank accounts, corporate payments, and expenses.

 

Lead Relationships and Team Development

  • Manage relationships with global banking partners and service providers, serving as the primary commercial point of contact.

  • Directly lead, mentor, and develop a high-performing team of treasury professionals and contractors, cultivating organizational capability.

  • Negotiate banking fees, optimize bank account structures, and evaluate emerging treasury products to improve financial flexibility.

 

What You'll Bring

  • Bachelor's Degree in Finance, Accounting, Economics, or a related discipline.

  • 7+ years of track record in corporate treasury and cash management, including 2+ years of formal supervisory experience.

  • Deep technical familiarity with cash positioning, liquidity forecasting, multi-rail payments, and banking front- and middle-office procedures.

  • Proven experience executing trade finance and credit support mechanisms, including Letters of Credit, surety bonds, and parent guarantees.

  • Direct hands-on experience optimizing and administering a Treasury Management System, with Kyriba experience highly preferred.

  • Background collaborating across Accounting and Internal Controls functions to design, monitor, and audit SOX-compliant financial processes.

  • Experience operating within capital-intensive fields such as clean energy, utilities, telecom, infrastructure development, or commercial real estate.

  • An execution-oriented mindset, comfortable jumping into granular operational workflows while maintaining an eye for organizational scaling.

  • A strong alignment with mission-driven infrastructure development, reflecting Intersect's values of Equity, Humility, Authenticity, Long-run Value, and People Come First.

Total Rewards

 
Total Compensation: $208,000 - $234,000 (total compensation includes base salary + bonus in USD)

Equity: Beyond your salary, you’ll receive an Equity Grant, giving you a meaningful stake in our parent company. 

Health & wellness: 100% premium coverage for you and your dependents on medical, dental, and vision

Time to recharge: Unlimited PTO, plus two company-wide breaks (Fourth of July & end of year)

Family support: Up to 12 weeks of fully paid parental leave, plus 6 additional weeks for birth parents; access to family planning and family care support through Carrot and Maven

Mental health: Free access to Spring Health, including 5 free therapy and psychiatry sessions, plus a Headspace account for mindfulness and meditation through our physical health vendor, Wellhub+

Perks & extras: $150 monthly food stipend, $150 monthly reimbursement for cell phone and internet, pet insurance allowance, full home office setup, free access to UrbanSitter with $625 in quarterly company-paid credits, ActiveHero, and One Medical

 

Intersect maintains a work environment free from discrimination, one where all employees are treated with dignity and respect. All employees share in the responsibility for fulfilling Intersect's commitment to equal employment opportunity. Intersect does not discriminate against any employee or applicant on the basis of age, ancestry, citizenship, color, family or medical care leave, gender identity or expression, genetic information, immigration status, marital status, medical condition, national origin, physical or mental disability, political affiliation, protected veteran or military status, race, ethnicity, religion, sex (including pregnancy), sexual orientation, or any other characteristic protected by and consistent with applicable local laws, regulations and ordinances. We adhere to these principles in all aspects of employment, including recruitment, hiring, training, compensation, promotion, benefits, social and recreational programs, and discipline.

Skills Required

  • Bachelor's Degree in Finance, Accounting, Economics, or related discipline
  • 7+ years of corporate treasury and cash management experience, including 2+ years supervisory experience
  • Deep technical familiarity with cash positioning, liquidity forecasting, multi-rail payments, and banking front- and middle-office procedures
  • Proven experience executing trade finance and credit support mechanisms (Letters of Credit, surety bonds, parent guarantees)
  • Hands-on experience optimizing and administering a Treasury Management System and ERP integrations
  • Kyriba experience
  • Experience collaborating with Accounting and Internal Controls to design, monitor, and audit SOX-compliant financial processes
  • Experience operating within capital-intensive industries (clean energy, utilities, telecom, infrastructure development, commercial real estate)
  • Proven ability to lead, mentor, and develop treasury professionals and manage banking partner relationships
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The Company
HQ: San Francisco, CA
325 Employees
Year Founded: 2016

What We Do

Intersect is a company that provides data center and energy infrastructure solutions. It focuses on powering AI data centers at scale, addressing the challenges of speed and capacity in a market constrained by grid limitations. The company's model is built on co-location and infrastructure development to support the growing demands of industrial and AI leadership.

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