Senior Finance Analyst

NexampBoston, MA
Hybrid

About The Position

Nexamp is seeking a Senior Finance Analyst to support capital planning, forecasting, treasury management, budgeting, and financial analysis activities that help inform business decisions. In this role, you will prepare and maintain financial analyses, forecasts, reports, and support documentation while partnering with Finance team members and cross-functional stakeholders to ensure deliverables are accurate, timely, and aligned with established processes. You will also contribute to process improvements and support ad hoc financial projects as assigned. This is a hybrid role based out of the Boston, MA office, reporting to the Manager, Finance.

Requirements

  • Bachelor's degree in Business, Accounting, finance or related discipline.
  • 2+ years of experience in accounting, FP&A, solar project finance, or capital markets.
  • Intermediate Excel skills, including VLOOKUPs and pivot tables, to efficiently analyze and report financial data.
  • Accounting and financial knowledge to assess impacts and recommend practical solutions.
  • Uses data and analytical thinking to identify trends, evaluate alternatives, and support informed decision-making.
  • Demonstrated experience in effectively communicating information, ideas, and perspectives with people inside and beyond your organization.
  • Experience in showcasing initiative to make improvements to current work, processes, products, and services across the organization.
  • Ability to ask appropriate questions, analyze data, identify the root causes of problems, and present creative solutions.
  • Eagerness to develop a fundamental understanding of how Nexamp operates and then apply that knowledge effectively to inform business decisions.

Nice To Haves

  • Experience with NetSuite/Salesforce is preferred.
  • Commitment to Nexamp's mission and have a passion for solving tomorrow's climate crisis today.
  • We value accountability and an ownership mentality.
  • Expertise in building strong internal and external relationships with customers and stakeholders, instilling trust and loyalty across the industry.

Responsibilities

  • Support recurring tax equity financing activities by preparing funding documentation, organizing cost segregation materials, and coordinating inputs from Accounting, Capital Markets, Legal, investors, and consultants.
  • Assist with monthly funding forecasts and capital requests by reviewing data for accuracy, completeness, and alignment with established financing requirements.
  • Coordinate with business units to gather information needed to support construction financing activities and project readiness.
  • Track upcoming acquisition payments in partnership with the Channel team and help summarize related cash management impacts.
  • Prepare weekly cash flow reforecasting and capital management materials through data collection, analysis, and reporting.
  • Aggregate financial model outputs and business data to support reporting, variance analysis, and decision-making by Finance leadership and business partners.
  • Support process improvements by maintaining standard reports, dashboards, trackers, and templates.
  • Assist Finance Analysts and team members by answering questions, sharing process knowledge, and escalating complex issues to management as appropriate.
  • Complete ad hoc financial projects and analyses as assigned by management.

Benefits

  • competitive compensation package
  • 401(k) employer-match
  • health, dental, and vision insurance starting day one
  • flexible paid time off
  • holiday PTO
  • commuter benefits
  • cell phone reimbursement
  • healthy snacks
  • coffee
  • service days and other volunteer opportunities
  • company outings
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