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Treasury Analyst; Hybrid

Job in Boston, Suffolk County, Massachusetts, 02298, USA
Listing for: Longroad-Energy
Full Time position
Listed on 2026-07-05
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Reporting, Corporate Finance
Salary/Wage Range or Industry Benchmark: 80000 - 100000 USD Yearly USD 80000.00 100000.00 YEAR
Job Description & How to Apply Below
Position: Treasury Analyst (Hybrid)

Description About Longroad Energy

Longroad Energy is a Boston, MA headquartered renewable energy developer focused on the development, ownership, and operation/asset management of wind, solar, and battery storage projects throughout North America. Founded in 2016, Longroad has developed more than 7.2 GW and owns 5.4 GW of wind, solar, and energy storage projects across the United States, with more than 34 GW of projects currently in development.

Our vision is to create lasting value for our shareholders, communities, and employees by responsibly developing, owning, and operating renewable energy projects. We have assembled a world-class team with a passion for renewable energy innovation and a commitment to advancing the transition to clean energy.

Job Overview

The Treasury Analyst supports Longroad Energy's financial operations by managing treasury functions, loan compliance, and bank administration across a growing portfolio of renewable energy projects. This role is integral to ensuring the accurate and timely execution of debt service processes, draw requests, and payment operations that underpin the company's project finance infrastructure.

Working within the Finance and Treasury team, the Treasury Analyst collaborates closely with internal stakeholders across Development, Accounting, Finance, and Asset Management, as well as external partners including lenders, banks, and legal counsel. This role is ideal for someone who enjoys detail-oriented financial work, thrives in a fast-paced environment, and wants to build deep expertise in renewable energy project finance. You’ll directly support the financial infrastructure that enables Longroad’s mission to advance the clean energy transition.

Responsibilities
  • Debt Service & Draw Management
  • Collect, review, and reconcile debt service invoices for construction and operating loans, including principal, interest, swap, and bank fee invoices.
  • Prepare and calculate cash waterfalls at month-end and quarter-end to support construction and operating draw processes.
  • Prepare and submit monthly, quarterly, and ad hoc draw request packages for lenders in an accurate and timely manner.
  • Support tax equity and sale leaseback projects, including month-end draws and rent request coordination.
  • Compliance & Lender Relations
  • Manage loan compliance deliverables across the project portfolio and serve as a primary point of contact for lender communications.
  • Assist with onboarding new projects by establishing reconciliation files and procedures aligned with lender requirements.
  • Letters of Credit, Bonds & Bank Administration
  • Support the full lifecycle of Letters of Credit, including new issuances, increases, decreases, extensions, expirations, and form negotiations.
  • Support bond issuance form reviews and associated documentation.
  • Administer bank KYC (Know Your Customer) processes related to new account openings, closures, user updates, and authorized signers.
  • Payment Operations & Controls
  • Perform callbacks and compliance verifications for new vendors and payment detail changes in accordance with internal controls.
  • Set up and release wire payments in a timely and accurate manner.
  • Support corporate-level cash monitoring and reconciliation activities.
  • Systems & Process Management
  • Maintain and update Treasury team databases including the Debt Tracker, Cash Balances Tracker, Bond Tracker, and Letter of Credit Tracker.
  • Contribute to the continuous improvement of treasury systems, tools, and internal procedures.
Minimum Qualifications
  • Bachelor's degree in Accounting, Finance, or a related field.
  • Minimum of 3 years of relevant professional experience in Treasury, Finance, Accounting, or a related discipline.
  • Demonstrated knowledge of treasury and cash management principles, including familiarity with business law practices and tax implications.
  • Strong analytical and organizational skills with a high degree of attention to detail.
  • Excellent written and verbal communication and interpersonal skills.
  • Solid understanding of accounting principles and financial concepts.
  • Proficiency with Microsoft Office Suite; experience with Sage X3, Black Line, or similar financial systems preferred.
  • Advanced Excel…
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