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The Director of Finance is responsible for managing financial activities and ensuring fiscal compliance for the organization. The Director will provide financial reporting, forecasting, and data/trend analysis.
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The Senior Financial Analyst is responsible for playing a key role in Sunnova’s corporate finance strategy by producing accurate long term three-statement models, liquidity forecasts and key metric forecasts, along with variance analysis between forecast versions and between forecast and actuals.
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7+ years of relevant work or internship experience at a U.S. solar, wind, or energy storage development company, or Independent Power Producer in an M&A, finance, or development role with specific focus on financial modeling and valuation or relevant, or similarly transferable experience in an investment banking or private equity investor capacity.
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Alternatively, will accept a PhD degree in Accounting, Business, Economics, Finance, Law, Mathematics, Policy Analysis, Tax or a related field and 2 years of business advisory, transfer pricing, economic consulting or Federal/ International business tax consulting work experience.
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Utilize business, strategic, and analytical skills to perform tasks such as: financial modeling and analysis; operations and service strategy development, revenue growth; operational process and technology optimization; store labor planning and analysis; organizational design and assortment/inventory performance analysis.
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One or more of the following credentials or certifications is required: CPA License, Levels 1 & 2 of the CFA exam, JD, PhD, MBA or Master's degree in Accounting, Finance, Tax, Quantitative Statistics, Engineering, Corporate Engineering, Information Systems, Financial Engineering, Economics, Real Estate Finance or Hospitality, Enrolled Agent (EA), State Certified Appraiser License.
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Knowledge of decision sciences, cost accounting, finance, benchmark analysis, productivity reporting and delivery of healthcare services. Advanced Education:Bachelor's DegreeMajor:Bachelor's Degree in Accounting, Finance, IT or Healthcare AdministrationMaster's DegreeMajor:Master's degree in aligned disciplines preferred (MBA, MS, MHA, MPA) 4.
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The Treasury Manager will also work closely with the Vice President and Treasurer, Accounting, Tax and Financial Service Group in areas of finance such as liquidity management, financial risk management, cash flow forecasting, repatriation of cash, trade finance and other projects.
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Financial statement (income statement, balance sheet & cash flow statement) modeling and analysis experience Work experience and proficiency with financial and forecasting/budget software applications required; Hyperion Essbase and Hyperion Strategic Finance experience strongly preferred.
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Consult and advise on: Finance, Accounting, Financial Reporting, Compensation, Finance Systems, Accounting Policy and systems, IT, and auditing.
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Must be able to work in a team environment that crosses multi-functional groups such as Design/Drafting, Analysis, Production, Quality Assurance, Health and Safety, Project/Program management, Accounting/Finance.
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O Financial Planning and Analysis (Budgeting, Planning, Forecasting or Management Reporting) o Finance Transformation (Planning, Financial Reporting, EPM, Program/Project Management, Change Management, Financial Systems Integration.
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BA/BS Degree in Finance, Economics, Accounting and CPA, MBA, CFA. CTP a plus. The Director, Treasury assists the VP & Treasurer in managing the corporation’s finance operations, including liquidity planning, debt issuance, investments, working capital management.
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Deloitte & Touche's Controllership Market Offering helps CFOs, CCOs, controllers, and business unit finance leaders in implementing the latest accounting changes; dealing with complex business issues and capital markets transactions; working to meet financial reporting needs and regulatory and investor expectations.
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Fundamental understanding of GAAP accounting principles and comfort with core financial statements (Income Statement, Cash Flow Statement and Balance Sheet). Education: Bachelor’s Degree in Accounting, Finance, Economics or MathExperience: 4-5 years of relevant project/corporate finance experience ideally in the North American power industryMicrosoft Excel, PowerPoint, Word.
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investor relations financial analysis accounting finance jobs Title: planning and analysis in Houston, TX
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