Senior Portfolio Performance & Risk Analyst

Florida Power & Light

Juno Beach (FL)

On-site

USD 95,000 - 125,000

Full time

14 days+
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Job summary

NextEra Energy Resources, LLC is seeking a Principal Analyst to oversee portfolio performance and risk reporting. The role will consolidate financial, operational, and risk data to deliver concise leadership updates and insights.

The ideal candidate has 6+ years in portfolio management, FP&A, or risk disciplines, with strong analytical, Excel, and presentation skills. Collaboration across finance, risk, and portfolio companies is essential.

Qualifications

  • Bachelor’s degree in finance, accounting, economics, business, engineering, data analytics, or related field.
  • 6+ years of relevant experience in portfolio management, FP&A, corporate finance, risk management, or related discipline.
  • Strong analytical and problem-solving skills with the ability to work with financial, operational, and risk data.
  • Ability to synthesize large amounts of information and identify issues most relevant to management.
  • Strong written communication skills with concise executive-ready commentary and presentations.

Responsibilities

  • Coordinate and produce monthly data collection, validation, analysis, and leadership update.
  • Compile standardized financial, operational, and other key performance metrics across portfolio companies.
  • Identify significant variances, trends, and developments requiring attention.
  • Develop concise commentary that highlights key takeaways and context.
  • Support development and maintenance of dashboards, scorecards, and other monitoring tools.

Skills

Advanced Excel
PowerPoint
Financial modeling
Data analysis
Portfolio reporting

Education

Bachelor’s degree (finance, accounting, economics, business, engineering, data analytics)

Tools

Excel
PowerPoint

Job description

NextEra Energy Resources, LLC is seeking a Principal Analyst to oversee portfolio performance and risk reporting. The role will consolidate financial, operational, and risk data to deliver concise leadership updates and insights.

The ideal candidate has 6+ years in portfolio management, FP&A, or risk disciplines, with strong analytical, Excel, and presentation skills. Collaboration across finance, risk, and portfolio companies is essential.

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