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Treasury Strategy Associate

Remote Office
Finance
Financial Modeling
FP&A
Cash Flow
Analysis

As a Treasury Strategy Associate, you’ll be supporting our financial planning efforts—analyzing liquidity needs, forecasting cash flow, and delivering insights that drive decision-making. You’ll collaborate with teams across departments, using your understanding of both Project and Corporate finance to connect the dots and build strategies that move us forward. If you’re a financial thinker with a knack for strategic analysis, join us in guiding our organization toward a bright and sustainable future!

What You’ll Do

  • Support the CFO organization’s financial planning and forecasting including the business, cash, and revenue model.
  • Build complex financial models to optimize Corporate and Project sources and uses of capital.
  • Support the maintenance of the Company financial model (P&L, Balance Sheet, Cash Flow), including forecasting, budgeting, and long-term planning.
  • Support the monthly, quarterly, & annual forecasting processes and variance reporting
  • Generate business insights for management; expand upon areas of opportunity with follow-up analyses and recommendations.
  • Measure and track performance of our key objectives and KPIs across the enterprise.
  • Create reports and deliverables for external counterparty consumption.
  • Collaborate with the Project Finance and Asset Management teams to incorporate long-term energy production and revenue models into Corporate planning.
  • Partner with the Accounting and Construction Management teams to support evolution of systems and processes to ensure accurate, timely, insightful financial reporting.
  • Collaborate with Tax, Project Finance, Risk & Insurance, Development, and Accounting teams to optimize business planning and cost of capital.
  • Assist internal PGR execution teams on financial closings involving complex transactions.
  • Assist with Board and Investor packages.

Must-Haves

  • 3 or more years’ experience in Treasury, FP&A, Strategic Finance, or Project Finance preferred.
  • Experience at a growth-stage startup, renewable energy company, or independent power provider preferred.
  • Expert financial modeling skills (Excel, Power Query) and extensive experience building complex models.
  • Demonstrated outstanding financial analysis skills and expertise with an emphasis on budgeting, management reporting, and cash flow.
  • Results-oriented, organized, efficient, and resourceful team player that excels in a dynamic environment.
  • Excellent analytical skills with superb attention to detail and ability to problem solve.
  • Proficiency with MS Excel, PowerPoint and Word.

Education and Certifications

  • Bachelor’s Degree in Finance or Accounting preferred.

Work Environment

  • Remote and/or hybrid position. Up to 25% travel.
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