Job Description
About the Company: Our client is a leading provider of essential infrastructure services to the natural gas and electric industries across the United States. The company’s footprint spans over 40 states and serves a diverse set of utility customers. They are focused on delivering long-term value through operational excellence, strategic growth, and strong financial discipline.
Position Summary:
Our client is seeking a Sr. Financial Analyst (Corporate Strategy and Treasury) to join our dynamic finance team. This role will be instrumental in driving key corporate initiatives by supporting capital markets activity, strategic planning, M&A execution, and executive-level reporting. Reporting to the VP of Finance, the position offers significant exposure to senior leadership, including the CFO, and will play a central role in communicating Our client’s performance and strategy to stakeholders including lenders, the Board of Directors, and executive leadership.
Key Responsibilities:
Lender & Investor Presentations:
~ Develop, maintain, and enhance presentations for current and prospective lenders; support quarterly updates and ad hoc requests tied to financial performance, capital structure, and credit metrics.
Board & Executive-Level Reporting:
~ Lead the creation of Board materials and other executive presentations; collaborate with business unit finance teams and the executive office to ensure high-quality, data-driven outputs that align with strategic objectives.
Monthly Operating Reviews:
~ Support the coordination and preparation of monthly operating reviews; analyze financial and operational performance trends and distill key insights for senior leaders.
Corporate Financial Modeling:
~ Build and maintain dynamic corporate financial models, including long-range plans, scenario analyses, and liquidity forecasting to support strategic decision-making and treasury functions.
M&A & Strategic Projects:
~ Conduct financial analysis for potential M&A opportunities, including valuation modeling, synergy analysis, and due diligence support; contribute to strategic assessments and special projects across the corporate finance function.
Qualifications:
~ Bachelor’s degree in Finance, Economics, Accounting, or related field; MBA or CFA a plus.
~2–5+ years of experience in investment banking, private equity, valuation, or strategic FP&A.
~ Advanced Excel and PowerPoint skills; experience with financial modeling and executive presentations is essential.
~ Strong analytical and problem-solving skills with keen attention to detail.
~ Excellent verbal and written communication skills.
~ Self-starter with the ability to manage multiple priorities in a fast-paced, high-growth environment.
Compensation: $100,000 - $130,000 salary plus 10-15% bonus
SE: 510740504
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