Bridge Carbon LLC is a London-based international carbon project developer committed to building a world-class carbon finance organization that defines the standards for quality, integrity, and transparency across the voluntary carbon markets. The Company utilizes best-in-class carbon methodologies, as well as third-party digital monitoring, reporting, and verification (dMRV) processes to ensure that every ton of carbon credits created can be traced directly to reductions achieved by the Company’s carbon removal activities. Follow our journey at https://bridgecarbon.com/ This is a contract position for 6 months with possibility for extension. The Role : has responsibility to manage Bridge Carbon’s financial health and risk exposure and ensure liquidity to fund business operations across international regions. Key responsibilities include: Liquidity Management · Ensure the company has sufficient cash flow to meet short-term and long-term obligations. · Manage working capital by optimizing accounts receivable, accounts payable, and inventory. · Forecast cash flows to prevent cash shortages or excess idle cash. Cash & Banking Management · Handle daily cash operations, including payments, collections, and reconciliations. · Maintain relationships with banks and financial institutions. · Optimize banking structures and fees for efficiency. · Manage the banks to ensure payments are executed by the banks and not held by internal processes · Automate our processes using the FIDES banking system · Ensure the smooth flow of funds between company bank accounts across borders Risk Management · Identify and mitigate financial risks such as currency fluctuations, interest rate changes, and credit risks. · Use financial instruments like hedging, derivatives, and insurance to manage risks. · Ensure compliance with financial regulations and corporate policies. Foreign Exchange & Interest Rate Management · Monitor exchange rate movements and optimize foreign transactions. · Manage interest rate risks to minimize borrowing costs. Financial Planning & Reporting · Provide insights on financial performance, liquidity, and risk exposure. · Support budgeting, forecasting, and financial strategy development. · Ensure accurate treasury reporting and compliance with financial standards. Qualifications or specialized knowledge/experience required: Minimum of a university level degree in finance, accounting, or related field. Strong track record of delivering change and business improvement in a corporate treasury function of an international company. Experience finance expert preferably with accounting and treasury qualifications. Strong understanding of banking in multiple countries across Southeast Asia and Sub-Saharan Africa Experience paying funds from Europe to other continents with higher risk profiles. Expert experience managing banking relationships. Core Competencies: Commercial Acumen – expert knowledge of business environment and operations. Excellent communication and interpersonal skills. Demonstrates consistent high integrity and transparency. Business judgement – understands when to engage others or lead and decide. Advanced degree of awareness of impact and accountability. Time management – allocates time and resources efficiently and effectively. Drives sustainability and excellence in all areas of work. Location: London – remote/hybrid Supervision : the position will report to the CFO.