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Financial Analyst - Treasury

Job Description

Primary Purpose
This position is responsible for providing support to financial modeling, performing financial analysis and ad-hoc analysis for new projects and initiatives. Assists with updating models and calculating impacts of various transactions impacting funding and other strategic initiatives. The position will support the preparation of board-quality presentations, organizing and coordinating central workstreams across the organization, the production of shareholder and executive presentations, and supporting other highly visible strategic projects. The role will also help with the tracking annual and multi-year budgets for projects, internal comparative analyses and other supporting workstreams for finance operations and approvals. The successful candidate possesses financial background, a basic understanding of energy and/or LNG markets, as well as excellent interpersonal skills and ability to manage concurring projects.

Duties and Responsibilities

  • Update financial models and perform ad-hoc analysis to support new projects.
  • Responsible for team tracking of annual and multi-year budget for projects and comparison to actuals.
  • Perform multiple financial scenarios and analysis; management presentations.
  • Apply financial knowledge to review project and consolidated plans for sound presentation of numbers.
  • Work with Corporate Planning, Corporate Finance, Project Finance with preparation of various analysis and calculation of impacts of new strategies
  • Perform other duties as assigned (no more than 5% of duties).

Required Qualifications

  • Bachelor's Degree in Accounting, Finance, Business Administration or related field; or an equivalent combination of education and experience required.
  • 3+ years of related experience.
  • Experience working in a large/complex organization preferred.
  • Ability to model financial scenarios; good familiarity with financial concepts and analysis of data.
  • Skills with Excel and financial modeling (Power Bi, Macros, among others is desirable).
  • Working knowledge of key financial evaluation concepts (DCF, IRR, ROIC, Leverage metrics, Financial ratios).
  • Understanding of accounting and finance including consolidation, ownership structures.
  • Ability to advance an issue or problem for identification through resolution.
  • Experience summarizing complex data into logical presentations.
  • Project management skills and attention to detail.
  • Excellent interpersonal skills and the ability to interact with a diverse audience.
  • Ability to analyze contracts and compare relevant terms.

Preferred Qualifications

  • Finance or other advance degree.
  • Experience with Hyperion Strategic Finance software.
  • Experience with a publicly traded company with multiple business units.
  • Data analytics experience.
  • Professional certification (CFA, CMA, CPA, etc.).

HYBRID: Work a combination of onsite and remote days each week, typically 3 days per week onsite.
Accounting/Finance
Full-time
$76,200.00
$95,250.00
$114,300.00

Note: The Company strives to ensure that employees are paid equitably and competitively. Starting salaries may vary based on factors such as relevant experience, qualifications, and education.

Sempra Infrastructure offers a competitive total rewards package that goes beyond base salary. This position is eligible for an annual performance-based incentive (bonus) as well as merit-based recognition. Company benefits include health and welfare (medical, dental, vision), employer contributions to retirement benefits, life insurance, paid time off, as well as other company offerings such as tuition reimbursement, paid parental leave, and employee assistance programs.

 

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