Treasury Analyst

Engineering · Full-time · Salt Lake City, United States

Job description

Copia Power (“Copia”) is seeking a Treasury Analyst to support our rapidly growing renewable energy project pipeline.

Do you have Treasury experience and a desire to work for a people-first organization that is accelerating the U.S. transition to Renewable Energy? And do you believe that accountability, collaboration, and continuous learning ought to be key elements of your job? If so, we encourage you to apply for our Treasury Analyst role.   This is a hybrid position, and we are seeking candidates who will work out of our Salt Lake City, UT, Portland, OR, or Dana Point, CA locations.

What you will do: -Monitor daily cash balances and transactions to optimize liquidity. -Execute cash movements including wire transfers, investments, and payments. -Maintain short term cash forecast to anticipate funding needs. -Prepare documentation for Letters of Credit, Surety Bonds, and Borrowing Notices. -Cross functionally coordinate Debt Compliance & Covenant Calculations are met. -Conduct regular credit risk assessment on counterparties. -Assist with audits by providing documentation and explanations of Copia’s business activity. -Serve as daily point of contact with financial institutions, banks, and surety to support new obligations. -Deliver monthly reporting package detailing cash, debt, and investment activity. -Identify opportunities to streamline existing treasury processes.

What we look for: -Excellent oral and written communication skills. -Ability to recognize and solve business problems by connecting the dots to quickly isolate trends and issues. -Ability to work effectively within a rapidly changing organization. -Proactive mindset with the ability to thrive in a fast-paced, dynamic environment. -Knowledge of renewable energy project development, utilities, interconnection, permitting, power markets, and renewable energy technologies. -Knowledge and experience with PowerBI a plus.   Qualifications: -Bachelor's degree in finance, accounting, or a related field. -1 to 3 years of experience in treasury and/or financial management, preferably within the renewable energy industry or a similar capital-intensive sector.

  • Demonstrated expertise in cash management, debt financing, and working capital optimization. -Knowledge of regulatory frameworks, accounting standards, compliance requirements.
  • Excellent analytical skills with the ability provide strategic recommendations. -Ability to travel up to 10% 

Peers

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