Manager, Finance
venaenergy
| Company | venaenergy |
| Category | Finance |
| Location | Makati, Philippines |
| Remote | — |
| Employment | Not stated |
| Level | Manager |
| Salary | Not stated by the employer |
| Posted | 27 Jul 2026 |
| Last verified | 11 Aug 2026 |
| Source | Employer ATS (workday) |
Description
The Senior Manager, Treasury plays a strategic role in safeguarding financial stability. Beyond operational cash management, they ensure the company’s treasury policies align with long-term growth, compliance, and risk resilience. Their oversight is critical for regulatory audits, JV requirements, and maintaining investor confidence.
• Lead the company's treasury strategy to ensure financial stability, liquidity, and risk resilience.
• Oversee daily cash management activities and ensure sufficient funds are available to support operations.
• Monitor cash positions and optimize cash utilization across the organization.
• Develop, review, and maintain short-term and long-term cash flow forecasts.
• Review and approve cash allocation reports, treasury transactions, and investment activities.
• Establish and implement treasury policies, procedures, and internal controls.
• Design and maintain treasury governance frameworks that support compliance and financial risk management.
• Manage relationships with banks, lenders, financial institutions, and external stakeholders.
• Negotiate banking facilities, fee structures, credit lines, and treasury services.
• Monitor compliance with loan agreements, lender covenants, and credit administration requirements.
• Develop and execute funding strategies to support business expansion and capital requirements.
• Manage debt facilities, refinancing initiatives, and financing arrangements.
• Evaluate and oversee investment opportunities while ensuring capital preservation and liquidity.
• Conduct financial risk assessments covering foreign exchange, interest rate, liquidity, and counterparty risks.
• Implement strategies to mitigate treasury-related financial risks.
• Ensure compliance with regulatory requirements, treasury policies, and audit standards.
• Support internal and external audits by maintaining accurate treasury documentation and controls.
• Oversee accounts receivable and working capital initiatives to improve cash collection and cash conversion cycles.
• Prepare and present treasury reports, cash flow analyses, and risk assessments to senior management.
• Oversee debt modeling, insurance programs, treasury expenses, and earnings forecasts.
• Identify opportunities to automate and digitalize treasury processes and reporting.
• Drive continuous process improvements to enhance efficiency, accuracy, and controls.
• Collaborate closely with Finance, Accounting, Commercial, Legal, and Executive Leadership teams.
• Supervise, mentor, and develop treasury team members to build a high-performing treasury function.
• Provide strategic recommendations to management on liquidity, funding, capital structure, and financial risk management.
• Support investor confidence, regulatory compliance, and joint venture financial requirements through strong treasury governance.
Are you ready to engineer a greener future?