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Flatiron Energy

Manager of Corporate Planning and Treasury

Posted 12 Days Ago
Be an Early Applicant
In-Office or Remote
Hiring Remotely in Boston, MA, USA
Senior level
In-Office or Remote
Hiring Remotely in Boston, MA, USA
Senior level
The Manager of Corporate Planning and Treasury supports finance operations focusing on capital planning, treasury management, and financial strategy, collaborating with leadership to drive growth.
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About Flatiron Energy 

Flatiron Energy develops, owns, and operates utility-scale standalone energy storage assets that integrate renewable energy onto the grid, replace fossil fuel plants, and increase grid reliability. Founded by a team of experienced energy storage experts and backed by financial sponsor Hull Street Energy, Flatiron has a demonstrated track record of developing critical infrastructure needed to achieve our climate goals.  The team has deep experience in structuring, financing, and owning and operating energy storage assets in wholesale markets. 

Flatiron Energy is a high growth company with a dynamic, fast-paced, creative, and fun start-up culture. The right candidate will be excited to help scale the company, recognizing the challenges and opportunities for growth inherent in such an environment.  The Flatiron team is passionate about fighting climate change while ensuring their projects have an equitable impact on surrounding communities. Flatiron is looking for candidates who resonate with this mission.

About the Job

Title:                Manager of Corporate Planning and Treasury

Reports To:    Director of Corporate Planning and Strategy

Location:        Flexible (preference for Denver/Boulder, New York City, or Boston)

Description:   This role is a key member of the Finance organization supporting corporate planning, treasury operations, and capital strategy. The Manager of Corporate Planning & Treasury will work closely with the Director of Corporate Planning & Strategy and senior leadership to develop financial insights, support capital raising initiatives, and build scalable treasury capabilities for the company.  This role is well-suited for candidates who enjoy solving complex financial problems, building analytical frameworks, and working cross-functionally to support the company’s strategic and capital priorities.

Key Responsibilities

Capital Planning & Strategy

  • Support corporate capital planning, forecasting, and scenario analysis to inform strategic decision-making with leadership
  • Develop and maintain corporate financial models used for annual budgeting process, quarterly planning, capital allocation, and long-term forecasting
  • Coordinate cross-functionally with business leads across the business to develop financial planning architecture that enables long-term business success and sustainable best-practices
  • Support the development and reporting of key business success metrics to executives and significant variances to corporate forecasts
  • Support key strategic initiatives and provide analysis on the financial impact of issues in the market with significant implications on the company
  • Support structured transactions at the project and corporate level as needed, including project acquisition negotiations and documentation
  • Support development and commercial strategic initiatives as needed, including market entry, commercial structures, and process improvements

Treasury & Liquidity Management

  • Help build and scale treasury capabilities including liquidity forecasting, cash flow planning, and capital deployment tracking
  • Create and manage accurate, well-structured corporate financial models for the business and enable both short-term and long-term cash and capital planning
  • Support management of the company’s capital plan and assist in evaluating cost of capital
  • Manage evaluation and implementation of a treasury management system
  • Assist in corporate tax structuring initiatives and planning, and in investor and lender relations including capital calls and ad-hoc requests
  • Partner with accounting to improve treasury processes and financial controls

Key Qualifications

  • Bachelor’s degree in Business, Engineering, Finance, or a related field; MBA or relevant advanced degree preferred
  • 5 to 8 years of experience in a finance-focused role, including corporate finance, management consulting, investment banking, structured finance, or similar
  • Strong familiarity with treasury management and operations concepts including liquidity forecasting and cash management
  • Strong problem-solving abilities, inter-personal skills, creativity, autonomy, and a desire to take on additional responsibilities as the company expands
  • Successful track record of managing long-term corporate planning activities
  • Strong business acumen, exceptional judgment, and the ability to autonomously identify and implement practical solutions to complex business problems
  • Superior verbal and written communication skills and high level of attention to detail
  • Expert proficiency with Excel and PowerPoint; programming skills a plus
  • Preference for strong understanding of accounting principles or CFA
  • Preference for direct, relevant experience in renewable or energy storage industry, and understanding of utility-scale project development and wholesale power markets

Compensation and Benefits

Job Type:            Permanent, Full-time.  Ability to work in the United States is a requirement.

Salary:                Competitive base salary commensurate with experience

Bonus:                Competitive bonus based on performance

Benefits:             Flatiron offers an excellent benefit package with comprehensive health care, dental, vision, 401(k) plan with company match, and other health and wellness benefits.

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