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Senior Finance Manager (Denver)

The Senior Finance Manager will join the Global Accounting, Reporting, and Controls team, overseeing all financial activities for a portfolio of construction‐stage and operational assets. This role is responsible for end‐to‐end financial management and control, including monthly and quarterly reporting, coordination of the annual audit cycle, and oversight of construction and liquidity activities.Reporting to the U.S. Finance Director, this position requires a hands‐on contributor who will both support day‐to‐day execution and play a critical role in strengthening financial controls, processes, and reporting standards across the broader U.S. finance organization.Key ResponsibilitiesAccounting, Reporting & ControlsProvide oversight of accounting records across the assigned portfolio, ensuring compliance with U.S. GAAP and IFRS, as well as adherence to internal accounting policies and standards.Lead the monthly close and reporting process, including preparation and review of balance sheet reconciliations, variance analysis, and compliance with SOX requirements.Partner with global technical accounting and centralized finance teams to ensure accuracy in financial reporting and provide support on complex accounting matters and transactions.Own the timely delivery of all monthly, quarterly, and annual financial deliverables to internal and external stakeholders.Design, implement, and enhance internal controls and close processes to drive efficiency, improve reporting quality, and support a best‐in‐class finance function.Audit & TaxSupport execution of annual audits under U.S. GAAP and IFRS, coordinating closely with regional finance leadership and internal and external auditors.Drive audit efficiency initiatives, including interim testing, process improvements, and preparation of year‐end financial statements.Collaborate with tax teams throughout the annual compliance cycle, supporting tax calculations and working with external advisors as needed.Business PartneringAct as a finance partner to construction, asset management, and structured finance teams to improve financial accuracy, cash flow forecasting, and liquidity management.Support internal stakeholders with board materials, investor reporting, and quarterly financial presentations.Qualifications & ExperienceActive CPA requiredStrong command of U.S. GAAP (required); IFRS experience preferredDemonstrated experience with complex accounting areas such as virtual power purchase agreements (vPPAs), lease accounting (ASC 842 / IFRS 16), derivatives, and revenue recognitionExperience managing complex consolidations across multi‐entity organizationsMinimum of 4 years of relevant experience; renewable energy, infrastructure, or project‐based environments strongly preferredKnowledge of tax equity structures, project finance, and debt arrangementsPrior experience managing or supervising a small team and directing workflowsHands‐on experience with SAP or a comparable ERP systemPersonal AttributesHighly organized with the ability to prioritize competing deadlines effectivelyAdaptable and resilient in a fast‐paced, evolving environmentExceptional attention to detail with the ability to identify and challenge discrepanciesFast learner with the ability to quickly understand new systems and processesAdvanced Microsoft Excel skillsStrong communication, collaboration, and relationship‐building capabilitiesPositive, proactive mindset with a solutions‐oriented approach