Treasury Strategy Associate

Logo of Pine Gate Renewables

Pine Gate Renewables

📍Remote - Worldwide

Job highlights

Summary

Join Pine Gate Renewables as a Treasury Strategy Associate and contribute to the financial planning and forecasting of this leading renewable energy company. You will support the CFO organization, build complex financial models, and generate business insights. Collaboration with various teams is crucial, requiring expertise in project and corporate finance. This role involves analyzing liquidity needs, forecasting cash flow, and creating reports for both internal and external stakeholders. The position offers a remote or hybrid work environment with opportunities for professional development and a comprehensive benefits package.

Requirements

  • 3 or more years’ experience in Treasury, FP&A, Strategic Finance, or Project Finance
  • 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

Responsibilities

  • 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

Preferred Qualifications

  • Experience at a growth-stage startup, renewable energy company, or independent power provider
  • Bachelor’s Degree in Finance or Accounting

Benefits

  • Medical, dental, vision
  • Matching 401k
  • Paid Time Off
  • Paid holidays
  • Training, and development
  • Giving back to the community
  • Remote work options

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