SolarEdge is seeking a highly skilled and motivated Treasury Manager to join our global Treasury organization. This role will take ownership of cash flow forecasting and liquidity management, support corporate finance strategy, and help strengthen SolarEdge’s global financial infrastructure.
The ideal candidate brings strong analytical capabilities, hands‑on execution experience, and the ability to partner with senior leadership (Finance, FP&A, Accounting, Tax, and Operations).
Key Responsibilities
Corporate Finance & Capital Structure
· Lead strategic financing initiatives
· Assist in preparing materials for stakeholders
· Perform capital structure benchmarking and liquidity scenario modelling
Cash Flow Management & Liquidity
· Improve forecasting processes, tools, and data integrity (Oracle Fusion, Power BI)
· Support weekly and monthly global cash flow forecasting, consolidating inputs from subsidiaries worldwide
Cross‑Functional Collaboration
· Partner with FP&A, Accounting, Tax, Procurement, and Operations to ensure accurate liquidity planning
· Provide treasury insights for business cases, capex planning, and strategic projects
· Prepare executive‑ready presentations for SLT and Board meetings
Qualifications
· 10-12 years of relevant experience in Treasury, Corporate Finance
· Strong expertise in cash flow forecasting, liquidity planning, and treasury operations
· Solid understanding of corporate finance principles
· Advanced Excel skills; experience with ERP systems (Oracle Fusion preferred)
· Strong analytical mindset and attention to detail
· Excellent communication skills—ability to present complex topics clearly.
· Experience in a multinational company
· Knowledge of FX hedging, derivatives, and risk management frameworks
· Power BI / automation exposure / AI
· Familiarity with US GAAP