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Director of FP&A

Job in Tysons Corner, Tysons, Fairfax County, Virginia, USA
Listing for: Jobot
Full Time position
Listed on 2026-02-20
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager
  • Management
    Financial Manager
Salary/Wage Range or Industry Benchmark: 150000 - 175000 USD Yearly USD 150000.00 175000.00 YEAR
Job Description & How to Apply Below
Location: Tysons Corner

10 to 20% bonus, HYBRID (2 days from home), Medical, Dental, Vision

This Jobot Job is hosted by:
Brittany Packard
Are you a fit? Easy Apply now by clicking the "Apply" button and sending us your resume.
Salary: $150,000 - $175,000 per year

A bit about us:

Our client is on a mission to accelerate the transition to clean energy by unlocking the value of land for solar and battery storage development. Based in Virginia their team delivers strategic capital solutions that empower developers and landowners to overcome funding barriers and bring renewable energy projects to life. Through land acquisitions, lease monetization, and customized financing, our client makes it possible to build more affordable and sustainable energy infrastructure — powering communities while creating lasting environmental and economic impact.

Why join us?
  • 10 to 20% bonus
  • medical
  • dental
  • vision
  • hybrid (2 days from home)
  • room for growth
  • 4% 401k match
  • 19 days of PTO
  • 8 paid holidays
Job Details

Director of FP&A
About the Company

Our mission is to acquire, develop, and manage climate-friendly solar and energy storage real estate assets that accelerate the transition to a low-carbon economy. We are a well-funded, high-growth organization seeking a finance leader who is passionate about renewable energy and excited to help scale a rapidly expanding platform.

This role reports to the EVP of Corporate Finance and is responsible for leading Financial Planning & Analysis, Treasury, and Investor Relations functions. The Director will oversee short- and long-term forecasting, executive and investor reporting, cash management, and administration of debt and equity facilities. This individual will have visibility across all aspects of the business from a financial and reporting perspective.

The ideal candidate brings strong analytical capabilities, exceptional communication skills, and the ability to manage multiple priorities in a fast-paced, growth-oriented environment.

What We Offer

Collaborative, high-performing team with deep renewable energy industry expertise

Competitive compensation package including base salary and performance bonus

Comprehensive benefits package, 401(k) with company match

Flexible hybrid work schedule

Opportunity to play a meaningful role in building and scaling a clean energy platform

Core Responsibilities
Financial Planning & Analysis

Lead annual budgeting process, full-year forecasting, and long-term financial planning

Monitor monthly P&L performance and cash flow; develop ad hoc financial models as needed

Prepare and support Quarterly Business Reviews, Board presentations, and investor communications

Oversee adoption and enhancement of financial systems and reporting processes

Maintain and update investor return models

External Reporting, Investor Relations & Capital Structure Management

Partner with the EVP of Corporate Finance on financial reporting and covenant compliance across all debt facilities

Manage monthly reporting requirements for debt and equity stakeholders

Maintain covenant calculations and reporting for both long-term and short-term financing structures

Oversee debt service processes, restricted cash reconciliations, transfer certificates, and compliance filings

Maintain notes registry and support quarterly debt investor repayments and dividend distributions

Lead implementation and optimization of debt management systems

Treasury Management

Oversee company cash positions across multiple banking relationships

Collaborate with internal teams on cash forecasting for upcoming development and financing needs

Execute timely equity and debt draws; maintain leverage and liquidity reporting

Systems & Process Improvement

Support implementation of new financial tools, systems, and operational process enhancements across departments

Qualifications
Required Experience

7–10 years of experience in FP&A, treasury, and cash management

Demonstrated success supporting smooth project or transaction closings

Strong understanding of development, construction, and financing risk

Familiarity with real estate reporting and valuation methodologies

Knowledge of commercial agreements supporting solar and energy storage development (PPAs, interconnection agreements,…
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