Energy Storage Portfolio Finance Lead

Fluence

Houston (TX)

On-site

USD 90,000 - 130,000

Full time

4 hours ago
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Job summary

Fluence in Houston, TX seeks a Portfolio Finance Manager to oversee financial performance of a growing energy storage project portfolio. This full-time, on-site role collaborates with project management, operations, commercial, and accounting to optimize profitability and ensure accurate cash flows.

You will monitor revenues, costs, and variances, prepare periodic reports, support budgeting and forecasting, evaluate financial risks, and participate in investment decisions.

Qualifications

  • Strong financial analysis and portfolio management skills.
  • Experience with cash flow modeling and profitability assessment.
  • Budgeting, forecasting, and variance analysis experience.
  • Knowledge of energy or renewables markets and PPAs.
  • Excellent communication and cross-functional collaboration.
  • Bachelor’s degree in Finance/Accounting/Economics/Business; CFA/CPA a plus.
  • Prior portfolio management or corporate finance experience in energy/utilities.

Responsibilities

  • Oversee financial performance of a portfolio of energy storage projects.
  • Monitor revenues, costs, and cash flows; prepare periodic reports.
  • Support budgeting, forecasting, and variance analysis.
  • Collaborate with project management, operations, commercial, and accounting.
  • Evaluate financial risks and participate in investment decisions.
  • Support contract reviews from a financial perspective.
  • Contribute to process improvements and financial controls across the portfolio.

Skills

Financial analysis
Portfolio management
Cash flow modeling
Excel modeling
ERP / BI tools
Communication
Cross-functional collaboration

Education

Bachelor's degree
CFA or CPA (plus)

Tools

ERP systems
BI tools
Excel

Job description

Fluence in Houston, TX seeks a Portfolio Finance Manager to oversee financial performance of a growing energy storage project portfolio. This full-time, on-site role collaborates with project management, operations, commercial, and accounting to optimize profitability and ensure accurate cash flows.

You will monitor revenues, costs, and variances, prepare periodic reports, support budgeting and forecasting, evaluate financial risks, and participate in investment decisions.

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