Assistant Treasurer - Houston, United States - Sunnova Energy International, Inc.

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    Description
    Brief Description of Sunnova

    Sunnova (


    NYSE:
    NOVA) is an industry-leading adaptive energy services company focused on making clean energy more accessible, reliable, and affordable for homeowners and businesses.

    At Sunnova, we embrace diverse perspectives, vibrant creativity and forward-thinkers who share our zeal for a sustainable future.

    A career with us means pushing beyond traditional limits, exploring new horizons, collaborating with like-minded peers, and transforming the energy industry for the better.

    If you're excited about being a part of the fastest-growing segment of the energy industry, we encourage you to apply

    The Assistant Treasurer Position


    The Assistant Treasurer position is responsible for assisting the Treasurer in directing the Company's cash and liquidity management, risk management and treasury operations and controls, including establishing and maintaining systems necessary.

    The Assistant Treasurer role will be involved in the development, maintenance and compliance with the Company's cash, liquidity, risk and treasury management policies and procedures, debt servicing, risk reporting, treasury reporting, planning and budgeting activities and risk management actions.

    This role will be responsible for ensuring that all cash, corporate policies and treasury controls are documented and followed by the Company.

    The Assistant Treasurer will also work closely with other professionals on the Finance Team including the CFO, Finance Director, FP&A Director, as well as members of the Company's operations and sales teams.

    The ideal candidate has an excellent reputation for trust and confidence and is detail-oriented, self-motivated team player with a very strong working knowledge of commercial banking and treasury policies and procedures.

    The ideal candidate will also be familiar with securitization structures.


    JOB RESPONSIBILITIES

    In coordination with the Treasurer, responsible for developing, maintaining, updating and reviewing Company's cash flow models together with how these models intersect and tie into other Company business plans and financing models.

    Organizational and management reporting related to the cash flow models;
    Supporting the Treasurer in connection with forecasting cash payments, progressing specific financial projects, and making decisions on the Company finances and impact of business activities;
    Managing relationships with the Company's private equity owners, bank groups, lenders, bondholders, lien holders, risk and insurance professionals, merchant card processors and other key strategic partners/vendors;
    Maintaining inventory of all treasury relates services, fees, etc.;
    Becoming a subject matter expert on all indentures and credit facilities in which the Company is involved, and all related compliance activities as well as developing tools to track loan/indenture compliance, financial covenant positions and financial trends, among other things;
    Strong knowledge of the Company's corporate organizational structure and capital structure of various affiliated corporate entities;
    Ensuring strict compliance with accounting/finance controls surrounding treasury and cash flow functions;
    Working closely with other members of the Company's Finance Team on matters including but not limited to accounting, planning, reporting, procurement and field finance;
    Staying current with banking regulations, practices and trends;
    Undertaking risk management activities to protect a Company's financial well-being;
    Participating in personal development activities to continue strengthening core treasury and cash management skills
    Develop and implement treasury management systems
    We are a new business model - agile and evolving.
    Other duties as assigned.


    JOB REQUIREMENTS
    College degree in finance and/or accounting
    CTP certification
    At least 4 years industry experience in a treasury environment
    Very strong excel and systems experience
    Extensive experience managing complex indenture / loan agreements and covenant compliance
    Significant experience in accounting/finance controls surrounding treasury and cash flow functions controls, budgeting and cash modeling
    Experience in managing banking and merchant card processing relationships
    Excellent planning, computer and IT skills with systems background experience
    Self-motivated, driven to work hard in a fast-paced "win focused" environment
    Excellent organizational and time management skills with strong abilities to multi-task and prioritize

    Ability to communicate effectively with others in written and spoken English and to prepare and deliver presentations to all levels of organizational responsibility.

    Ability to establish and maintain good working relationships with colleagues, staff and external contacts, and to work collaboratively and cooperatively in a professional team environment.


    LOCATION:
    HOUSTON, TX
    We are an equal employment opportunity employer.

    All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, national origin, disability status, protected veteran status or any other characteristic protected by law.

    If you are selected for a position, your employment will be contingent upon submission to and successful completion of a post-offer/pre-placement drug test (and medical examination if required by the role) as well as pre-placement verification of the information and qualifications provided during the selection process.


    All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, or national origin.

    We appreciate the capabilities of artificial intelligence (AI), and we are looking to hire real people.

    If you use AI for any part of the job application process, we highly encourage that you review any AI generated content to ensure your personality and unique capabilities are highlighted.

    We reserve the right to disqualify candidates that we reasonably believe solely relied on AI generated content in the application process.

    If you are selected for a position, your employment will be contingent upon submission to and successful completion of a post-offer/pre-placement drug test (and medical examination if required by the role) as well as pre-placement verification of the information and qualifications provided during the selection process.

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