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TerraPower — Bellevue, Washington
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.
Benefits
” TerraPower is seeking to hire highly motivated and forward-thinking professionals who are interested in focusing on advanced nuclear reactor research and development and influencing change within the nuclear power landscape and bringing forward the critical production of medical isotopes. TerraPower is an Equal Opportunity Employer. We do not discriminate in hiring on the basis of sex, gender identity, sexual orientation, race, color, religious creed, national origin, physical or mental disability, protected Veteran status, or any other characteristic protected by federal, state, or local law.
Treasurer The Treasurer oversees TerraPower’s enterprise-wide treasury function, ensuring strong liquidity management, accurate cash forecasting, and disciplined oversight of cash across a complex, project-driven, capital-intensive environment. This role provides strategic and operational leadership for cash positioning, foreign currency exposure, banking structure, and treasury controls. The Treasurer partners closely with Accounting, FP&A, and project finance teams to align liquidity planning with long-term reactor development and infrastructure programs.
Responsibilities
: Strategic Leadership & Collaboration: Lead the treasury function, setting 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.
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.
Provide ongoing visibility into cash burn, liquidity outlook, and funding milestones. Foreign Currency Management: Monitor 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.