Senior Analyst / Associate - Risk Management

HASIAnnapolis, MD
$105,000 - $160,000

About The Position

HASI is an investor in sustainable infrastructure assets advancing the energy transition. With more than $16 billion in managed assets, our investments are diversified across multiple asset classes, including utility-scale solar, storage, and onshore wind; distributed solar and storage; RNG; and energy efficiency. We combine deep expertise in energy markets and financial structuring with long-standing programmatic client partnerships to deliver superior risk-adjusted returns and measurable environmental benefits. HA Sustainable Infrastructure Capital, Inc. is listed on the New York Stock Exchange (Ticker: HASI). For more information, please visit hasi.com. HASI is currently seeking an Analyst or Associate with strong financial modeling and analytics experience to join our team in Annapolis, MD [or New York, NY]. This individual will work with the Risk Management Team in providing modeling support for transaction closings and HASI’s growing sustainable investment portfolio. The core responsibilities of the role will include building, auditing and managing financial models, and providing analytics support across the organization.

Requirements

  • Bachelor’s degree from a four-year institution or Master’s in Finance, Economics or Business; CFA Charter holder or CFA candidate would be a plus.
  • Excellent MS Excel financial modeling and data mining skills with demonstrable experience developing and managing complex financial models.
  • Demonstrated interest in sustainable investing with the desire to focus primarily on financial modeling and analytics.
  • Detail-oriented, collaborative, dependable and reliable team member with strong work ethic and positive attitude.
  • Excellent written and verbal communication skills.

Nice To Haves

  • Experience in renewable energy project finance/valuation or finance/investment banking in the power sector would be a plus.
  • Experience with modern data analytics and reporting tools (Business Objects, SQL, SSMS, SSIS, R, PowerBI, Tableau) would be a plus.

Responsibilities

  • Work with a cross-functional finance team (Risk Management, Portfolio Management, Investments, Capital Markets, Accounting) to build, audit and manage financial models.
  • Support with developing, improving, reviewing, and auditing transaction models.
  • Assist with developing and managing portfolio models for multiple asset classes.
  • Work with IT teams to support corporate-wide databases, data analysis and model-automation developments.

Benefits

  • annual bonus program
  • 401(k) with company match
  • an equity incentive program
  • comprehensive medical, dental and vision benefits
  • paid time off for vacation, holidays, and sick days
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