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DESRI, headquartered with a Hyderabad office, seeks a Treasury & Corporate Finance professional to support portfolio wind, solar, and battery projects. You will contribute to FP&A, manage corporate debt facilities, and forecast cash positions at both project and corporate levels.
The role emphasizes collaboration across teams, liquidity management, and process improvements to streamline forecasting, budgeting, and financing activities.
Job Description:
DESRI (formerly D. E. Shaw Renewable Investments) is a market-leading owner and operator of renewable energy projects throughout the United States. We have acquired or developed approximately 11.9 gigawatts of contracted capacity across a portfolio of over 80 renewable energy projects in 24 states. DESRI is run by a dynamic team with offices located at New York, Denver, and Hyderabad (India).
We are looking for a resourceful and driven professional to join DESRI, based out of the firm’s Hyderabad, India office. The successful candidate will be a part of a small, inclusive, highly skilled team responsible for supporting DESRI’s portfolio of wind, solar and battery projects in an agile environment that values collaboration, thoughtful problem solving, and attention to detail.
You will work on a wide variety of Treasury and Corporate Finance initiatives, with a substantial focus on Corporate Finance, managing our corporate-level debt facilities, and Financial Planning & Analysis (FP&A). On the Corporate Finance/FP&A side, you will be responsible for forecasting DESRI’s short-term and long-term cash position, both at the project and corporate levels, tracking overall deal flow, planning for upcoming significant fundings, identifying and alleviating liquidity and covenant compliance concerns, and optimizing distributions. You will also need to use various existing forecasting and budgeting tools in this process, while striving to build them out further and implement new ones to streamline, consolidate, and broaden DESRI’s forecasting capabilities. You will also work on other areas of corporate finance, such as working with lenders, investors, counsel, and senior management on the initiation, modeling, due diligence, closing, and ongoing compliance of corporate financing facilities.
Additionally, you will work with various stakeholders, including bankers, investors, senior management, asset managers, and the accounting team, to ensure that the cash side of the business is functioning efficiently while continuously developing and implementing process improvements. Furthermore, you will be responsible for preparing periodic reports for the financing parties and senior management. Additionally, this position offers an opportunity to work on initiatives related to establishing, standardizing, optimizing, and documenting corporate finance processes, workflows, and controls.