Sr Accountant

True Green Capital Management LLC

Westport (CT)

On-site

USD 90,000 - 130,000

Full time

2 days ago
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Job summary

True Green Capital Management LLC in Connecticut is seeking a hands-on Senior Accountant to maintain financial records and execute monthly closes across a portfolio of renewable energy project companies.

You will handle journal entries, reconciliations, period-end reporting for lenders and tax equity, assist with audits, and support investor reporting across multiple entities using NetSuite, QuickBooks, or Sage.

Qualifications

  • Bachelor’s degree in accounting.
  • 5+ years of accounting experience, ideally in a multi-entity environment.

Responsibilities

  • Maintain accurate financial records for multiple SPVs.
  • Record journal entries across accruals, deferrals, adjustments, and allocations.
  • Prepare financial reporting for lenders and tax equity counterparties.
  • Perform account reconciliations across cash, balance sheet, revenue, and expenses.
  • Manage quarterly and year-end close activities for assigned project companies.
  • Coordinate bank and account reconciliations as part of the close process.
  • Prepare supporting schedules for review and reporting purposes.
  • Support external audits and tax preparation processes for project companies.
  • Assist fund-level closing and investor reporting.

Education

Bachelor’s degree in accounting

Job description

We are seeking a hands-on Sr. Accountant responsible for the accurate maintenance of financial records and execution of monthly close activities across a portfolio of renewable energy project companies.

Each project company operates as a standalone revenue-generating asset and requires complete, timely, and accurate financial reporting

The Sr Accountant is responsible for day-to-day accounting execution and ensuring the integrity of project company level financial records across multiple entities.

Key Responsibilities
Core Accounting
  • Maintain accurate and complete financial records for multiple SPVs
  • Record journal entries across all standard accounting areas (accruals, deferrals, adjustments, allocations)
  • Financial reporting for lender/tax equity counterparties
  • Perform account reconciliations, including cash, balance sheet, revenue, and expense accounts
  • Manage quarterly, and year-end close activities across assigned project companies
  • Complete bank and account reconciliations as part of the close process
  • Prepare supporting schedules for review and reporting purposes
  • Manage external audit and tax preparation processes for project companies by providing accurate financial data (no tax responsibility)
  • Support fund level closing, investor reporting and fund audits
Accounts Payable / Receivable (Multi-Entity)
  • Process, code, and record vendor invoices across multiple project companies
  • Ensure accurate entity-level classification of costs and expenses
  • Execute payment processing and maintain vendor records
  • Support customer billing and receivables tracking where applicable
  • Escalate discrepancies or exceptions to Controller / Assistant Controller team as needed
Systems & Process Support
  • Work within NetSuite, QuickBooks, and/or Sage across multiple entities
  • Support process improvements and standardization initiatives
  • Identify and elevate process or data integrity issue
Qualifications
  • Bachelor’s degree in accounting
  • 5+ years of accounting experience ideally including:
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Health, dental & vision benefits
Direct exposure to PE-backed platform
Results-driven team