Capital Markets & Treasury Analyst

Deriva EnergyCharlotte, NC
Hybrid

About The Position

Deriva Energy, a Brookfield Renewable company, is seeking a Capital Markets & Treasury Analyst to join their dynamic team. This role is pivotal in building and refining financial models, supporting capital markets transactions (debt and tax equity), and incorporating treasury functions like liquidity management and cash flow forecasting. The analyst will collaborate with project development, asset management, banking partners, and internal teams to support new markets and product offerings in the rapidly evolving renewable energy industry. The position is based at the Deriva Energy Headquarters in Charlotte, NC, with a hybrid work opportunity.

Requirements

  • Bachelor’s degree in finance, business, economics, engineering, or a related field
  • One (1) year or more of investment banking, valuation, accounting, applied mathematics, quantitative analytics experience or relevant coursework preferred

Nice To Haves

  • MBA in Finance or MSA in Accounting
  • Prior Deriva Energy internship participant
  • Three (3) years or more of investment banking, valuation, accounting, applied mathematics, quantitative analytics experience
  • Financial modeling, financial statement analysis, and accounting skills/ knowledge
  • Expert proficiency in Microsoft Excel
  • Excellent communication, project management and team-building skills
  • Experience working with cross-functional internal and external technical advisors and stakeholders
  • Experience in utility-scale renewable energy finance
  • Strong interpersonal skills with the desire to work in a fast-paced and entrepreneurial environment
  • CFA or CPA designation or be progressing towards CFA or CPA
  • Experience with modelling both tax equity and debt structures
  • Strong organizational skills and attention to detail
  • Demonstrated ability to work in a flat organization, successfully leveraging the expertise of multiple colleagues in different lines of reporting
  • Ability to multi-task and arbitrate between conflicting priorities
  • Ability to take ownership over tasks and work proactively
  • Working knowledge of power markets in North America
  • Basic understanding of and/or ability to address concepts including, basis risk, power markets, hedging, losses, and congestion across markets

Responsibilities

  • Building and managing financial models (tax equity, debt, and portfolio-level forecasting)
  • Developing and maintaining short- and long-term cash flow forecasts to support liquidity planning and investment decisions
  • Supporting treasury operations, including cash management, forecasting, and coordination with banking partners
  • Supporting the origination, due diligence, and execution of capital market transactions, including debt and equity offerings, for renewable energy projects (solar, wind, and battery storage)
  • Preparing teaser decks and Confidential Information Memorandums (CIMs)
  • Analyzing trends in renewable energy debt and equity markets
  • Preparing Board and strategy presentations for investment decisions
  • Assisting with management of banking relationships, credit facilities, and capital provider reporting requirements
  • Completing other duties as assigned

Benefits

  • Health Insurance
  • Dental Insurance
  • Vision Insurance
  • 401(k) with matching
  • Employee assistance program
  • Flexible spending account
  • Life insurance
  • Paid time off
  • Parental leave
  • Attractive Bonus Potential
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