Corporate Planning and Treasury Manager

🕒 April 20

🏢🏡 New York City – Hybrid

⏰ Full Time

🟡 Mid-level

🟠 Senior

👔 Manager

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Logo of Flatiron Energy

Flatiron Energy

WebsiteLinkedIn

1 - 10 employees

Founded 2021

⚡ Energy

🤝 B2B

🔥 Funding within the last year

💰 $125M Debt Financing - Flatiron Energy on 2025-10

Energy • B2B

Flatiron Energy is a developer and operator of utility-scale energy storage projects that strengthen electric grid reliability and provide clean capacity where it is needed, with a focus on high-demand urban areas in the Northeast and Mid‑Atlantic U. S. The company partners with local agencies and governments, sources equipment from top-tier suppliers, emphasizes safety and community impact, and is a Certified B Corporation and a portfolio company of Hull Street Energy.

📋 Description

• 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 • 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

🎯 Requirements

• 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

🏖️ Benefits

• Comprehensive health care • Dental • Vision • 401(k) plan with company match • Other health and wellness benefits

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