As part of Intersect's Corporate Finance team, you'll manage daily cash positioning, liquidity tracking, payment processing, and accounts payable operations to support our growing clean energy asset portfolio. You'll drive operational precision across bank portals, treasury systems, and financial models, ensuring capital is deployed efficiently and securely. Working alongside finance, accounting, and development teams, you'll optimize cash management workflows, maintain robust internal controls, and support strategic liquidity forecasting. Your work directly strengthens Intersect's balance sheet execution, delivering long-run value as we scale utility-scale solar, wind, BESS, and data center power solutions. Team Overview This team plays a critical role in advancing Intersect's mission to accelerate the clean energy transition. The Corporate Finance team manages capital strategy, cash operations, and financial infrastructure to fund and sustain complex, large-scale energy projects. Joining this team means maintaining the financial heartbeat of our operations and growing within an agile, highly collaborative environment committed to excellence.
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Job Type
Full-time
Career Level
Mid Level