Sunstrong Management, LLC
Asset Management Analyst — Portfolio Financial Performance
Sunstrong Management, LLC, California, Missouri, United States, 65018
Job Summary
We are seeking an Asset Management Analyst focused on the financial performance of a portfolio of residential and commercial solar assets. In this role you will track and analyze revenue drivers, manage forecasting and budgeting, reconcile production to cash, and deliver actionable insights to maximize portfolio returns. You will collaborate with operations, accounting, billing, tax, and commercial teams to translate site performance into accurate financial results and forward-looking plans.
Key Responsibilities Financial Monitoring & Analysis
Produce cash‑flow summaries for assigned assets, reconciling actuals to forecasts and budgets
Analyze production, generation forecasts, and revenue drivers (PPAs, tariffs, incentives) to quantify financial impact
Track key financial KPIs (revenue per kW, yield, availability, O&M cost per MWh, net cash yield)
Budgeting, Forecasting & Variance Management
Build and maintain short‑ and long‑term forecasts and scenario analyses (sensitivity to production, pricing, and O&M)
Lead variance analysis and provide recommendations to improve margin and cash generation
Support annual budgeting and periodic reforecasts for portfolio assets
Reporting & Stakeholder Communication
Prepare executive summaries, dashboards, and ad‑hoc analyses for portfolio managers and senior leadership
Work with accounting and tax teams on incentive tracking and tax credit documentation
Process Improvement & Automation
Identify and implement automation and process improvements for reporting, reconciliations, and forecasting using Excel, BI tools, or scripting
Maintain model governance, assumptions documentation, and data‑quality checks
Minimum Qualifications
Bachelor’s degree in Finance, Accounting, Economics, Engineering, or a related field
2–4 years of experience in financial analysis, asset management, or renewables finance
Advanced Excel skills and experience with financial modeling and scenario analysis
Familiarity with dashboarding/BI tools (Power BI, Tableau, or equivalent)
Strong analytical mindset, attention to detail, and effective written/verbal communication
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Key Responsibilities Financial Monitoring & Analysis
Produce cash‑flow summaries for assigned assets, reconciling actuals to forecasts and budgets
Analyze production, generation forecasts, and revenue drivers (PPAs, tariffs, incentives) to quantify financial impact
Track key financial KPIs (revenue per kW, yield, availability, O&M cost per MWh, net cash yield)
Budgeting, Forecasting & Variance Management
Build and maintain short‑ and long‑term forecasts and scenario analyses (sensitivity to production, pricing, and O&M)
Lead variance analysis and provide recommendations to improve margin and cash generation
Support annual budgeting and periodic reforecasts for portfolio assets
Reporting & Stakeholder Communication
Prepare executive summaries, dashboards, and ad‑hoc analyses for portfolio managers and senior leadership
Work with accounting and tax teams on incentive tracking and tax credit documentation
Process Improvement & Automation
Identify and implement automation and process improvements for reporting, reconciliations, and forecasting using Excel, BI tools, or scripting
Maintain model governance, assumptions documentation, and data‑quality checks
Minimum Qualifications
Bachelor’s degree in Finance, Accounting, Economics, Engineering, or a related field
2–4 years of experience in financial analysis, asset management, or renewables finance
Advanced Excel skills and experience with financial modeling and scenario analysis
Familiarity with dashboarding/BI tools (Power BI, Tableau, or equivalent)
Strong analytical mindset, attention to detail, and effective written/verbal communication
#J-18808-Ljbffr