Sr. Financial Analyst, Treasury

Houston, TX
Finance, Accounting & Revenue Management – Finance /
Full-time /
On-site
BREIF DESCRIPTION OF SUNNOVA

Sunnova (NYSE: NOVA) is an industry-leading adaptive energy services company focused on making clean energy more accessible, reliable, and affordable for homeowners and businesses.
At Sunnova, we embrace diverse perspectives, vibrant creativity and forward-thinkers who share our zeal for a sustainable future. A career with us means pushing beyond traditional limits, exploring new horizons, collaborating with like-minded peers, and transforming the energy industry for the better.
 If you're excited about being a part of the fastest-growing segment of the energy industry, we encourage you to apply!

 

Responsibilities

    • Support Assistant Treasurer in the 13-week cash flow forecasting process to provide executive management with definitive cash flow trend data and advice for their use in setting and realizing business objectives.
    • Perform detailed, interpretative cash position analysis utilizing complex modeling scenarios.
    • Build and maintain cash forecasting models; work in collaboration with multiple department leaders to provide insightful analysis.
    • Assemble, compile, analyze information, and resolve errors/inconsistencies in data.
    • Formulate new analytical reports to improve information resources available to senior management.
    • Initiate improvements to reporting and forecasting capabilities in order to generate meaningful financial data to better serve senior management team and facilitate decision-making.
    • Provide insightful financial analysis, interpretations, predictions, support, tools and recommendations to drive decision making across the business to meet organizational objectives. Clearly communicate results and recommendations to ensure clarity and optimal decision making.

Minimum Requirements

    • 3-5 Years of related work experience
    • BA or BBA in Accounting, Finance, Economics or related
    • Advanced Excel Skills

Additional Knowledge, Skills and Abilities

    • Work independently and prioritize multiple responsibilities.
    • Strong analytical and financial modeling skills.
    • High attention to detail and strong organizational skills. 
    • Result oriented; proactive; possesses a high level of integrity. 
    • Strong interpersonal skills including communicating at various levels of organization.
    • Ability to manage multiple tasks at once and prioritize work.
    • Solid communication skills, critical thinking, and problem solving.
    • Possess confidence, flexibility and is a team player.