Accounting & Finance

Lead Treasury Analyst

Virtual Vocations Inc

Workfromhome · Nationwide · United States

Leading liquidity forecasting and financial reporting, the full-time remote Lead Liquidity Forecasting will manage budgeting and cash flow models for capital-intensive clean energy and data center projects while collaborating closely with corporate finance and executive leadership. Key responsibilities Build and enhance corporate cash flow, liquidity, and capital forecast models for energy and data center assets Synthesize financial metrics into strategic analyses and executive presentations for senior management Collaborate with cross-functional teams to align liquidity management with strategic objectives and establish standardized forecasting protocols Required qualifications Bachelor's degree in Finance, Accounting, Economics, or related quantitative field; MBA or CFA preferred 7+ years of experience in corporate FP&A, treasury, or financial modeling in capital-intensive sectors Advanced skills in cash flow forecasting and quantitative modeling using Google Sheets and Excel Familiarity with utility-scale capital project expenditure cycles and corporate capital allocation strategies Proven ability to present complex financial analyses to C-suite executives and senior leaders

Reference: WJ-2926_4618855

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