Strategic Corporate Finance Manager

Harvest Midstream Company

Houston (TX)

On-site

USD 110,000 - 170,000

Full time

5 days ago
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Job summary

Harvest Midstream Company in Houston, TX seeks an experienced finance professional to lead financial modeling, forecasting, and capital-structure analysis. You will work with senior leaders to provide insights that drive strategic decisions, financial flexibility, and performance improvements.

The role supports annual planning, internal reporting, and external communications with lenders, investors, and rating agencies, coordinating cross-functionally to deliver accurate analyses and

Qualifications

  • Five or more years of progressively responsible experience in corporate finance, investment banking, accounting, financial reporting, or related finance discipline.
  • Investment banking experience preferred.
  • Strong financial modelling, analytical, problem-solving, and data management skills.
  • Ability to translate complex financial information into executive-ready analyses and presentations.

Responsibilities

  • Develops and maintains comprehensive financial models, forecasts, and scenario analyses for various business purposes.
  • Supports annual planning, forecasting, and internal reporting, and prepares Board materials and executive presentations.
  • Maintains relationships with banks, investors, analysts, and rating agencies; monitors covenants and external requirements.
  • Leads or coordinates finance projects and collaborates cross-functionally to drive timely execution.

Skills

Financial modelling
Analytical skills
Problem solving
Data management
Communication
Project management
Microsoft Office
Excel
PowerPoint
Outlook

Education

Bachelor's Degree in Accounting/Finance/Economics/Business
MBA (preferred)

Tools

Microsoft Office

Job description

Harvest Midstream Company in Houston, TX seeks an experienced finance professional to lead financial modeling, forecasting, and capital-structure analysis. You will work with senior leaders to provide insights that drive strategic decisions, financial flexibility, and performance improvements.

The role supports annual planning, internal reporting, and external communications with lenders, investors, and rating agencies, coordinating cross-functionally to deliver accurate analyses and

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