Financial Analyst
Listed on 2026-02-06
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Finance & Banking
Corporate Finance, Financial Analyst, Financial Consultant, Financial Manager
Renewyx is excited to be representing a premier energy infrastructure developer with a key office in Sugar Land. This organization is a leader in modernizing the power grid, specializing in large-scale energy projects and retail energy solutions that ensure reliability through cutting-edge natural gas and renewable technologies. Known for their financial strength and strategic vision, they offer a collaborative and fast-paced environment where employees are mentored by industry veterans to become the next generation of energy finance leaders.
They are seeking a Financial Analyst to join their team in Sugar Land, TX. In this role, you will play a critical part in the company’s financial operations and liquidity management within the dynamic retail energy market. You will support the treasury lifecycle by monitoring daily cash flows, managing AR facility utilization, and performing complex collateral and credit support analyses to ensure efficient use of working capital.
This is a unique opportunity to work on the "harder" financial side of the energy transition with a firm that prioritizes mentorship and professional growth. Whether you are an experienced treasury professional or a high-potential analyst looking to specialize in energy commodities and infrastructure, this role offers exposure to the full financial lifecycle of complex energy assets. It is an ideal environment for someone "hungry" to learn and take initiative, offering the foundational training necessary to accelerate a career in large-scale energy infrastructure finance.
The ideal candidate should have the following:
- Bachelor’s degree preferred, ideally in Finance, Accounting, Economics, or a relevant field.
- 2-5 years of experience in financial analysis, treasury, or accounting, preferably within the retail energy, power, or commodities industry.
- Strong interest in energy market mechanics, specifically focusing on liquidity management, AR facilities, and credit support rather than traditional corporate FP&A.
- Basic understanding of US power markets (ISOs), energy settlements, and the mechanics of collateral requirements (Letters of Credit, Bonds, etc.).
- Strong organizational skills with the ability to manage daily cash reporting, monthly close entries, and facility compliance.
- Excellent communication skills with the ability to interface with internal accounting, risk, and operations stakeholders to explain financial variances.
- Advanced proficiency with Microsoft Excel (pivot tables, data analysis, and financial modeling) and experience with ERP systems like Net Suite, SAP, or Oracle.
If this is an opportunity you have interest in, then please apply to avoid disappointment.
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