Senior Treasury Analyst

CL

About ContourGlobal

ContourGlobal, a KKR company, is an established Independent Power Producer (IPP) focused on developing, acquiring, and operating electricity generation and storage assets across Europe, North and South America, with a presence in Africa and Asia. The company currently manages 5.5 GW of installed capacity across multiple technologies and asset classes, with an additional 800 MW of renewables under construction and nearly 12.6 GW under development.

ContourGlobal is accelerating the decarbonization of its portfolio and evolving into a predominantly renewable IPP, supported by long- term contracts and innovative PPAs coupled with energy management solutions that deliver value beyond market standards. As a symbol of its ongoing transformation and growth, the company recently unveiled a new brand identity, celebrating 20 years of history and embracing The Right Power Forward as its guiding purpose.

 


We are looking for the/a

Senior Treasury Analyst

Santiago, Chile/ Hybrid

 

Job Summary

 

As a Treasury Senior Analyst, you will join our Finance Team! In this role, you will report directly to the Finance Director and support the execution of the Company’s global treasury strategy and objectives. You will be responsible for managing a broad range of treasury operations, supporting treasury systems, cash management structures, banking connectivity projects, and intercompany financing activities. The role requires close collaboration with finance teams, subsidiaries, banking partners, and other stakeholders across the organization.

The main objective of this role is to ensure efficient treasury operations, maintain treasury systems and cash structures, support liquidity management, and contribute to treasury transformation initiatives across the Group. Join us to drive the right power forward and make clean energy the natural choice for all!

 

Key Responsibilities:

  • Support the execution of the Company's global treasury strategy and Treasury Department objectives.
  • Participate in Treasury Management projects, including organizational improvements, process optimization, and implementation of treasury systems.
  • Manage daily treasury-related requests from subsidiaries within SAP.
  • Maintain and administer treasury-related configuration and master data within SAP.
  • Maintain and monitor intercompany loan structures and related transactions within SAP.
  • Maintain and oversee cash pooling structures in SAP to support effective liquidity management across the Group.
  • Coordinate the setup and implementation of new cash pools in collaboration with internal stakeholders and banking partners.
  • Provide backup support for Group Treasury activities, ensuring continuity of treasury operations.
  • Collaborate with Accounting, Finance, Tax, and local business teams on treasury-related matters.
  • Support treasury reporting, cash flow monitoring, and liquidity management activities.
  • Assist in bank account administration and banking relationship management.
  • Contribute to continuous improvement initiatives, automation projects, and process enhancements within Treasury.
  • Support treasury audits and compliance activities as required.
  • Perform ad hoc analysis and special projects requested by Treasury leadership.

 

Qualifications and Skills: 

 

Your profile is a natural match if you have:

  • Education: Bachelor's Degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • Experience: 5-7 years of experience in Treasury, Cash Management, Corporate Finance, Banking Operations, or related areas.
  • Skills:
    • Systems: Experience working with SAP Treasury, Treasury Management Systems (TMS), and banking platforms.
    • Treasury Knowledge: Understanding of cash management, liquidity planning, cash pooling structures, banking operations, and intercompany financing.
    • Technical Skills: Advanced Microsoft Excel and strong analytical capabilities.
    • Languages: Strong English communication skills, both written and verbal.
    • Communication: Excellent interpersonal and stakeholder management skills.
    • Problem Solving: Ability to identify opportunities for process improvement and operational efficiencies.
    • Collaboration: Ability to work effectively in a multinational and cross-functional environment.

 

What drives your application forward:

  • Knowledge of SAP Treasury and Cash Management modules.
  • Experience managing cash pool structures and intercompany loan processes.
  • Exposure to multinational treasury operations and multi-currency environments.
  • Experience participating in treasury transformation and process optimization initiatives.
  • Interest in leveraging technology, automation, and AI-driven solutions to enhance treasury operations.

 

 

Our Values

 

«We» is our greatest asset

We respect and protect the environment

We are doers, committed to doing things right

We act with integrity and transparency

We think and act like entrepreneurs

You can find here more about our Purpose, Mission and Values.

 

Working@CG:

 

As a globally integrated team, we push boundaries, work collaboratively, and remain agile in the pursuit of excellence. With an entrepreneurial mindset, we encourage initiative and innovation. At ContourGlobal you are an employee, and you are also an owner. Our Employee Ownership Program allows our employee-owners to make a difference and drive the right power forward and make clean energy the natural choice for all!

We foster a culture where individuals are empowered to succeed, contribute and shape the future of sustainable energy.

Cross-border collaboration shapes our way of working: our diverse workforce reflects the multicultural environment we embrace every day.

We offer a competitive compensation package: we believe in meritocracy and rewarding meaningful contributions.

 

We enjoy making the most of our shared spaces to foster teamwork and collaboration. At the same time, our flexible working policy allows us to prioritize results while supporting wellbeing and a healthy work-life balance.

 

Interested in joining our company?

 

We know that skills and experience come in different forms, and we value diverse perspectives. 

 

If you’re excited about this role but you think you still need to learn some of the required skills, we’d still love to hear from you. You are much more than your CV, so come as you are and tell us who you aspire to become! The most important skills are collaboration, respect, trustworthiness and execution. So go ahead—apply, and let’s contribute to the new energy transition together!

 

 

ContourGlobal provides equal employment opportunities and maintains a diverse workforce that reflects the rich environment of our society and the markets in which we operate.

ABOUT CONTOURGLOBAL

ContourGlobal, a KKR Company, led by CEO Antonio Cammisecra, is an established Independent Power Producer (IPP) developing, acquiring, and operating electricity generation and storage assets worldwide. The company currently manages 5.3 GW of installed capacity across different power generation technologies and asset categories, with an additional 1 GW of renewables under construction and a further 9.8 GW under development. 
The operational footprint of the company extends to 18 countries across Europe, Africa, Asia, North and South America. The company has committed to speed up the decarbonization of its portfolio with a sustainable transition of its thermal fleet, the repowering of existing renewable assets and the organic development of new renewable projects. ContourGlobal boasts 20 years of a strong collaboration with communities, institutions, and customers that benefit from its electricity supply through long-term contracts or innovative PPAs, coupled with energy management solutions

OUR VALUES

-    «We» is our greatest asset
-    We respect and protect the environment
-    We are doers, committed to doing things right
-    We act with integrity and transparency
-    We think and act like entrepreneurs