Director, Treasury jobs in United States
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X-energy · 20 hours ago

Director, Treasury

X-energy is a company focused on energy solutions, and they are seeking a Director of Treasury to lead their Treasury function. The role involves strategic leadership in cash management, banking relationships, liquidity planning, and financial risk management while ensuring operational excellence in daily Treasury operations.

Clean EnergyCleanTechEnergyNuclearRenewable Energy

Responsibilities

Develop and implement comprehensive Treasury strategies aligned with X-energy's business objectives and development timeline
Propose Treasury policies, procedures, and controls to safeguard company assets and optimize financial performance
Provide strategic advice to the CFO, CEO, and Board on capital structure, liquidity management, and financial risk
Collaborate with senior management on funding strategies for project finance, asset finance, and corporate operations
Actively manage daily, global cash positions and short-term investments to ensure optimal liquidity and returns
Oversee cash forecasting processes and maintain accurate cash flow projections
Lead banking relationship management while directly executing critical banking transactions
Develop and maintain key performance indicators for Treasury operations
Hands-on participation in daily Treasury activities including payment approvals, wire transfers, corporate purchasing card program and monitoring of daily cash balances and activity
Negotiate and structure credit facilities, term loans, and other debt instruments
Evaluate and implement project finance structures as appropriate
Maintain strong relationships with commercial and investment banks, government funding agencies, and other financial institutions
Lead debt compliance monitoring and reporting processes
Participate in capital formation activities in coordination with both Finance and Strategy teams
Develop and execute investment strategies for short and long-term liquidity
Evaluate investment performance and adjust strategies to balance risk, return, and liquidity
Review and approve significant investment decisions
Design and implement strategies to manage interest rate, foreign exchange, and commodity price risks
Oversee execution of hedging strategies as appropriate
Monitor financial market conditions and recommend protective measures
Maintain compliance with risk management policies and report regularly to senior management
Evaluate, select, and implement Treasury management systems to support efficient operations
Drive continuous improvement in Treasury processes through technology and automation
Ensure robust controls and security measures for Treasury systems
Develop key Treasury metrics and dashboards for management reporting
Ensure compliance with financial regulations
Prepare and review key Treasury reports for management, the Board, and external stakeholders
Maintain strong controls over Treasury activities
Participate in financial audits and regulatory examinations related to Treasury function
Maintain professional demeanor and behavior at all times in all forms of communication
Perform other duties as assigned by senior leadership

Qualification

Corporate Treasury experienceCash managementFinancial risk managementDebt financingFinancial modelingTreasury management systemsCertified Treasury ProfessionalAnalytical skillsEthicsResilience under pressureCommunication skillsCollaborative approachIntegrity

Required

10+ years of progressive experience in corporate Treasury, with at least 5 years in a senior Treasury role
Proven experience in cash management, banking relationships, debt financing, and financial risk management
Direct experience with Treasury operations and demonstrated ability to balance strategic and operational responsibilities
Comprehensive understanding of financial markets, capital raising, and debt instruments
Bachelor's degree in Finance, Accounting, or related field; MBA preferred
Strong financial modeling and analytical skills

Preferred

Previous experience as Treasurer or Director of Treasury
Experience with project finance structures for large capital projects
Certified Treasury Professional (CTP) or similar professional qualification
Experience implementing and optimizing Treasury management systems
Working familiarity with SOX requirements

Benefits

401K plan with an employer match
Medical/Dental /Vision Insurance
Life and Disability Insurance
Paid Time Off
Tuition Reimbursement/Professional Development policy that supports the continuing education of our employees.

Company

X-energy

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X-energy is a nuclear energy company that develops small modular nuclear reactors and nuclear fuels for clean energy generation.

Funding

Current Stage
Late Stage
Total Funding
$1.71B
Key Investors
Stack CapitalJane Street CapitalPittco Management
2026-01-28Private Equity· $5M
2025-11-24Series D· $700M
2025-03-05Private Equity· $22.8M

Leadership Team

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J. Clay Sell
Chief Executive Officer
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Robert Taylor
Vice President, Regulatory Affairs and Licensing
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Company data provided by crunchbase