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Manager, Assets & Long-Term Contracts Energy Management

Job in Houston, Harris County, Texas, 77246, USA
Listing for: TOTAL Deutschland GmbH
Full Time, Contract position
Listed on 2026-09-12
Job specializations:
  • Finance & Banking
    Portfolio & Asset Management, Financial Analyst, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 180000 - 260000 USD Yearly USD 180000.00 260000.00 YEAR
Job Description & How to Apply Below

Empresa empleadora Total Energies Gas & Power North America, Inc.

The United States is the world's second-largest power market, comprising seven Independent System Operators (ISOs), each with its own market structure and dynamics. As one of the fastest-growing regions in the energy sector, the U.S. market is expected to contribute approximately 30% of Total Energies' Integrated Power business by 2030.

To support this ambitious growth strategy, Total Energies continues to expand and optimize a diverse portfolio of renewable and conventional energy assets, including solar, wind, thermal generation, and Battery Energy Storage Systems (BESS), complemented by long-term energy contracts.

As Manager, Asset & Long-Term Contracts Energy Margin
, you will play a critical role in maximizing portfolio value and delivering targeted energy margins. Acting as a key link between Asset Management and Trading teams, you will help ensure commercial performance, market optimization, and effective risk management across the portfolio.

Key Responsibilities

In this role, you will:

  • Lead the execution of the company's approved hedging strategy to protect and optimize portfolio value.
  • Ensure accurate economic modeling and market representation of assets to support dispatch optimization and capacity planning activities.
  • Partner closely with Asset Managers, Traders, and commercial stakeholders to maximize energy margin performance.
  • Provide clear and insightful reporting to senior management on portfolio performance, market exposure, and value creation opportunities.
  • Prepare and facilitate cross-functional governance committees, ensuring effective communication of activities, risks, decisions, and results.
  • Coordinate and organize the activities of the Energy Margin function to support efficient execution and continuous improvement.
  • Operate across liquid power markets with a planning horizon of up to three years, developing innovative solutions to address complex market, operational, and commercial challenges.
  • Contribute to the growth and optimization of a rapidly expanding portfolio within one of the most dynamic energy markets in the world.

As Manager, Asset & Long-Term Contracts Energy Margin
, you will be responsible for optimizing, managing, and forecasting the energy margin performance of Total Energies' growing portfolio of generation assets and long-term contracts. You will serve as a critical interface between Trading, Asset Management, Finance, and Portfolio Management teams to maximize value creation and support strategic decision‑making.

Key Responsibilities
  • Own the optimization and forecasting of energy margins across the asset and long-term contracts portfolio.
  • Deliver detailed asset‑level P&L attribution, performance analysis, and margin reporting, identifying value creation and optimization opportunities.
  • Provide energy margin forecasts and performance insights to support financial planning, budgeting, and long‑term portfolio strategy.
  • Execute and monitor the approved hedging framework in close collaboration with Trading desks to manage market exposure and protect portfolio value.
  • Act as the primary Trading interface for Asset Management teams, coordinating activities such as internal contract management, outage planning, and operational scheduling.
  • Lead the onboarding and integration of new assets, Special Purpose Vehicles (SPVs), and long‑term contracts into the portfolio management framework.
  • Partner with Finance to provide analytical insights on asset performance, supporting commercial and monetization decisions.
  • Develop medium‑ and long‑term market outlooks, scenario analyses, and margin forecasts to support asset planning and long‑term portfolio development.
  • Build strong cross‑functional relationships across…
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