Financial Analyst
PARIS, 75
il y a 1 jour
- Translate contract economics into documented settlement rules, calendars, data requirements and control checks.
- Maintain the contract register, billing instructions, pricing parameters and contractual deadlines.
- Coordinate the financial onboarding of new contracts with Trading, Data, Technology, Legal and Finance colleagues.
- Test settlement logic ahead of go-live and document all manual adjustments and exceptions.
Settlement Production
- Produce periodic settlement calculations using operational, metering and market data.
- Reconcile source data, contractual formulas, settlement outputs, invoices, accounting revenue and cash receipts.
- Investigate discrepancies and keep a clear exception and resolution log.
- Calculate and document monthly revenue accruals and provisions for the Finance Director and accounting team.
- Prepare customer invoices and supporting statements in line with contractual deadlines.
- Monitor accounts receivable, expected payment dates and overdue balances.
- Coordinate operational queries and provide factual input for disputes, escalating contractual interpretation and financial exposure to the Finance Director.
- Maintain a forward-looking forecast of aggregation cash receipts.
Automation & Data Quality
- Act as operational product owner for settlement tooling and automation.
- Define business requirements, acceptance criteria, control points and exception workflows together with Data and Technology.
- Prioritise automation initiatives based on volume, risk and manual effort, with sign-off from the Finance Director.
- Monitor data completeness and lineage, ensuring calculations stay reproducible and auditable.
Reporting & Controls
- Supply revenue, accrual, receivables and cash-collection inputs for monthly closing, forecasts and Board reporting.
- Prepare the settlement and revenue-risk review, with clear metrics and open issues.
- Maintain procedures, evidence and control documentation for every material contract.
- Support audits and counterparty reconciliations relating to settlement and revenue.
Candidate Profile
- Two to five years of experience in energy settlement, back office, revenue operations, trading operations, billing, controlling or another data-intensive finance role.
- Strong numerical ability and advanced Excel or equivalent analytical skills; experience with SQL, Python or BI tools is a strong plus.
- Able to read contracts and translate commercial terms into repeatable calculations and controls.
- Familiarity with European electricity markets, balancing, flexibility or battery storage is preferred.
- Fluent in the local working language plus professional-level English.
- Highly rigorous and process-minded, comfortable challenging inconsistent data.
The organisation develops, owns and operates large-scale battery storage assets, and also optimises third-party battery capacity using its own proprietary trading models to create value across trading, balancing and ancillary power markets.
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Entreprise
BOSS Energy Consulting
Plateforme de publication
WHATJOBS
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