Overview
This role involves managing financial modeling and operational asset management for development projects, primarily in the energy or infrastructure sectors. The position supports sales operations, project origination, and ongoing asset performance tracking.
Responsibilities
Sales Operations & Project Modeling (Front End)
- Build, update, and maintain detailed project-level financial models in Excel for both prospective and active development opportunities.
- Conduct return simulations and sensitivity analyses including IRR, NPV, DSCR, and payback under varying assumptions related to pricing, incentives, financing, and production.
- Support sales and origination processes by preparing pro formas, pricing scenarios, and deal summaries for internal and client-facing use.
- Manage deal files by organizing, naming, versioning, and maintaining project documentation, contracts, and supporting data in a consistent and auditable manner.
- Prepare inputs and materials for investment and partner decision meetings.
Operational Asset Management (Back End)
- Oversee a portfolio of operating assets, monitoring production, availability, and financial performance against underwritten assumptions.
- Produce recurring operational and financial reports (monthly/quarterly) for internal stakeholders, partners, and investors.
- Maintain support criteria including compliance checklists, warranty and O&M documentation, reporting calendars, and key performance thresholds.
- Identify performance variances and assist with root-cause analysis and corrective actions alongside the operations team.
- Incorporate actual operating results into modeling assumptions for future deals.
Cross-Functional & Support
- Act as a data and reporting resource throughout the project lifecycle, ensuring consistency between underwritten and actual figures.
- Continuously improve model templates, file structures, and reporting workflows.
- Support ad hoc analysis requests from senior leadership and deal teams.
Requirements
Required Qualifications
- 2–5 years of experience in financial analysis, project finance, sales operations, or asset management, preferably within energy, infrastructure, or real estate sectors.
- Advanced Excel and financial modeling skills, including building models from scratch, structuring cash flows, and performing scenario and sensitivity analyses.
- Strong understanding of financial metrics such as IRR, NPV, DSCR, cash-on-cash return, and payback.
- Meticulous file and data management skills with disciplined version control and documentation practices.
- Exposure to clean energy, renewables, or power project development.
- Familiarity with tax incentives, power purchase agreements (PPAs), and project financing structures.
- Excellent written and verbal English communication skills for remote collaboration with a U.S.-based team.
- Bachelor’s degree in finance, accounting, economics, engineering, or a related field.
- Reliable home-office setup and willingness to overlap with U.S. business hours.
Preferred Qualifications
- Experience preparing investor- or partner-facing reporting packages.
- Familiarity with data/business intelligence tools such as Power BI or Google Sheets, and CRM or project-tracking systems.
Location
Remote position requiring overlap with U.S. business hours.