Lead Liquidity Forecasting
Location: Remote
Compensation: Salary
Reviewed: Fri, Sep 18, 2026
This job expires in: 30 days
Job Summary
Leading liquidity forecasting and financial reporting, the full-time remote Lead Liquidity Forecasting will manage budgeting and cash flow models for capital-intensive clean energy and data center projects while collaborating closely with corporate finance and executive leadership.
Key responsibilities
- Build and enhance corporate cash flow, liquidity, and capital forecast models for energy and data center assets
- Synthesize financial metrics into strategic analyses and executive presentations for senior management
- Collaborate with cross-functional teams to align liquidity management with strategic objectives and establish standardized forecasting protocols
Required qualifications
- Bachelor's degree in Finance, Accounting, Economics, or related quantitative field; MBA or CFA preferred
- 7+ years of experience in corporate FP&A, treasury, or financial modeling in capital-intensive sectors
- Advanced skills in cash flow forecasting and quantitative modeling using Google Sheets and Excel
- Familiarity with utility-scale capital project expenditure cycles and corporate capital allocation strategies
- Proven ability to present complex financial analyses to C-suite executives and senior leaders
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