Treasury Analyst
Confirmed live in the last 24 hours
Clearway Energy
Job Description
What The Role Is
Clearway Energy is looking for a Treasury Analyst to join its Treasury Team in Princeton, NJ. Reporting to the Treasury Manager, the Treasury Analyst will be responsible for several core Treasury processes, including compliance with financing/credit agreements for various projects, administration of payment submissions, and support for accounting and financial reporting. This person will collaborate with team members in Treasury and in various departments, including capital markets, construction, development, accounting, legal, and risk & asset management, to support the operation of existing assets and develop a nationwide pipeline of new renewable energy projects for the future.
This is a hybrid role based in our Princeton, NJJ office. If you don’t meet 100% of the qualifications but see yourself contributing, please submit your resume.
What You'll Be Doing
- Assist in the integration of the new operating assets portfolio into Clearway’s Treasury workstreams.
- Review credit agreements and file compliance in accordance with agreements, indentures, etc.
- Submission of withdrawal/transfer certificates and distribution certificates to banks for dividends to the parent company.
- Reconcile debt service payment amounts between bank invoices and internal schedules/calculations/systems (including floating rate settings).
- Maintain debt and cash-related information within the treasury management system.
- Interact with lenders and Clearway departments to answer questions and obtain requested information.
- Prepare various internal and third-party reports as required or requested.
- Identify opportunities for automation, process improvement, and overall efficiencies within the current state of activities.
- Contribute to the optimization of a newly implemented enterprise resource planning system and treasury management system.
What You'll Bring
- Bachelor's Degree in Accounting, Finance, or related field.
- 2+ years of experience in Corporate Treasury, Treasury Operations, or Capital Markets.
- Proficient in the MS Office suite, especially advanced Excel skills.
- Experience in Accounting or related systems such as SAP S4 HANA accounting systems and S4 HANA Treasury Management Workstations.
- Ability to work on a variety of disparate tasks, demanding differing skill sets.
- Process improvement-oriented mindset with a drive to innovate.
- Knowledge and experience in accounting and treasury systems.
- Ability to manage conflicting deadlines and prioritize tasks efficiently.
What Would Be Nice
- CTP or interest in obtaining certification.
- Experience with the implementation of new systems and processes.
- Exposure to automation tools such as Power Automate, Python, or RPA software
- Familiarity with project management methodologies or tools
- Strong communication skills with the ability to multitask in a fast-paced, real-time team environment.
- Motivated self-starter with attention to detail.
Clearway will not sponsor non-immigrant visas for this position (H-1B, TN, E-3, etc.).
#LI-Hybrid
The pay rate for the successful candidate will depend on geographic location, skills, relevant and demonstrated experience, education, training and certifications, and other factors permitted by law. This role is eligible to earn an annual cash bonus, subject to personal and company performance goals.&
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