Blue Sky Utility

财务主管

加入蓝天公用事业,担任劳德代尔堡财务主管,负责现金管理、债务和太阳能项目融资。享受有竞争力薪酬、全面福利及混合办公模式。
Blue Sky Utility
Blue Sky Utility
劳德代尔堡,美国 混合 全职 USD 90k–120k yearly UTC-04:00

Blue Sky Utility

公司概况

蓝天公用事业公司,现为诺法能源的一部分

美国加利福尼亚州

2015年

约30名员工(来源:contactout.com)。2023年及以后的收入数据未公开,之前的估计显示年收入低于500万美元(来源:builtin.com)。

他们的业务

蓝天公用事业公司专注于可再生能源解决方案,主要提供定制的太阳能光伏系统和针对商业房地产的能源存储。他们的服务包括工程、财务结构、安装和维护等全面服务,所有服务均以零前期费用提供给客户(来源:blueskyutility.com)。该公司针对多种行业,特别是多租户零售房东和租户,以及制造业和小型企业,旨在提供实用的可持续解决方案,而无需资本支出(来源:zoominfo.com)。他们的产品旨在提高能源效率、提供成本节约,并确保符合环境、社会和治理(ESG)标准,从而提升物业价值(来源:blueskyutility.com)。该公司独特的零前期费用模式和可扩展解决方案使其在美国太阳能市场中具有竞争力,尤其是在被诺法能源收购后,带来了额外的专业知识和资源(来源:blueskyutility.com)。

项目与业绩

蓝天公用事业公司的一项显著项目是位于加利福尼亚州汉福德的一座购物中心的1.62MW双面太阳能屋顶安装,该项目于2018年2月与Sunpreme Inc.和Passco Companies合作完成。该项目具有重要意义,因为它代表了当时加利福尼亚州最大的购物中心屋顶太阳能阵列之一(来源:prnewswire.com)。尽管最近的来源中没有详细说明具体的重大正在进行的项目,蓝天公用事业公司仍在美国各地支持商业太阳能和储能部署,利用其可扩展的零售物业模型(来源:blueskyutility.com)。他们的客户名单包括知名零售租户,如Noodles Inc.和State Farm Insurance,展示了他们能够满足小型企业和国家品牌的需求(来源:blueskyutility.com)。地理重点主要集中在加利福尼亚州,最近在诺法能源收购后扩展到佛罗里达州(来源:blueskyutility.com)。

近期发展

在过去两年中,蓝天公用事业公司经历了重大转型,诺法能源以9100万美元收购了67%的股份,标志着诺法进入美国商业太阳能市场(来源:blueskyutility.com)。在2023年初,Allon Raveh被任命为执行董事长,带来了他在美国开发超过700MW太阳能和储能资产的丰富经验(来源:blueskyutility.com)。该公司还提到了一项预计将推动可再生能源部门增长的新立法,尽管具体细节或时间表尚未披露(来源:blueskyutility.com)。除了诺法的收购外,自首次500万美元总融资以来,没有记录到其他合并、收购或融资轮次,表明该公司专注于巩固其市场地位(来源:builtin.com)。

在这里工作

蓝天公用事业公司在不同部门提供多种职位,包括财务、运营、法律、销售和工程。该公司目前约有30名员工,具体职位包括11名财务人员、7名运营人员和3名C级管理人员(来源:zoominfo.com)。领导团队包括经验丰富的专业人士,如执行董事长Allon Raveh,他拥有伦敦商学院的金融硕士学位,以及首席财务官Michael Medina,他在可再生能源领域拥有超过18年的经验(来源:blueskyutility.com)。招聘可能会在他们位于加利福尼亚州纳帕和诺瓦托的办公室以及佛罗里达州博卡拉顿的新公司总部进行,反映了他们的积极运营和增长战略(来源:zoominfo.com)。公司文化强调在清洁能源解决方案中的创新,团队的见证强调了绿色品牌和合作伙伴关系的好处,得到了诺法在2050年前实现零排放的雄心勃勃的增长目标的支持(来源:blueskyutility.com)。


最后更新于 2月 23, 2026 | 报告问题

Blue Sky Utility is seeking a highly strategic and execution-oriented Treasurer to lead the Company's treasury function during a period of rapid growth and capital deployment. This role is critical to ensuring liquidity, optimizing capital structure, and supporting the financing and operation of a multi-state portfolio of utility-scale solar assets.

The Treasurer will serve as a key partner to the CFO and finance team, with direct responsibility for cash management, debt oversight, banking relationships, and financial risk management. This individual will play a central role in supporting project financings, managing lender relationships, and ensuring financial discipline across the organization.

This is not a passive, back-office treasury role. The Treasurer is expected to actively drive financial strategy, support transactions, and ensure the Company is positioned to scale efficiently and responsibly.

Key Responsibilities

Liquidity & Cash Management

  • Manage the Company's short- and long-term liquidity strategy across operating entities and project-level structures
  • Develop and maintain rolling cash flow forecasts, including scenario planning for growth, acquisitions, and market shifts
  • Optimize cash positioning across accounts, entities, and jurisdictions

Debt & Capital Structure

  • Oversee all debt obligations, including construction financing, term loans, tax equity structures, and other project financing arrangements
  • Monitor covenant compliance and reporting requirements across all financing agreements
  • Support structuring and execution of new financings in partnership with Business Development and executive leadership

Banking & Capital Markets Relationships

  • Manage relationships with banks, lenders, tax equity investors, and other capital providers
  • Serve as a primary point of contact for financial institutions and external stakeholders
  • Support lender reporting, audits, and ongoing diligence requirements

Project Finance & Transactions

  • Partner closely with Business Development and Project Delivery teams on M&A transactions, acquisitions, and asset-level financings
  • Support financial modeling, diligence, and execution of transactions
  • Ensure alignment between treasury strategy and project-level financial performance

Risk Management

  • Identify and manage financial risks, including interest rate exposure, counterparty risk, and liquidity constraints
  • Develop and implement treasury policies, controls, and governance frameworks
  • Support and manage surety and insurance plans

Systems, Controls & Reporting

  • Establish scalable treasury processes and controls to support a growing organization
  • Oversee cash reporting, bank account management, and treasury systems
  • Ensure accurate and timely reporting to executive leadership and lenders

Requirements

  • 3+ years of experience in treasury, corporate finance, or project finance
  • Strong experience in renewable energy, infrastructure, or project-based financing environments
  • Demonstrated experience managing complex debt structures and multi-entity cash flows
  • Proven ability to work directly with lenders, investors, and financial institutions
  • Experience supporting or leading project financings, acquisitions, or capital raises
  • Strong financial modeling and analytical capabilities

Preferred

  • Experience in utility-scale solar, BESS, or energy infrastructure
  • Background in tax equity financing structures
  • Experience in high-growth or PE-backed environments

Leadership Profile

  • Strategic thinker who can operate at both executive and execution levels
  • Highly detail-oriented with strong financial discipline
  • Comfortable operating in a fast-paced, evolving environment
  • Strong communicator with the ability to engage effectively with internal and external stakeholders
  • Hands-on, accountable, and outcome-driven

Benefits

What we can offer you:

  • An Incredible Team, a Big Mission
    Work alongside smart, passionate people who are genuinely driven to build a cleaner energy future. We move fast, collaborate deeply, and celebrate wins together. Our team culture is strong and stable, reflected in our 87% employee retention rate, which speaks to the environment we've worked hard to build.
  • Competitive Pay with Transparency from Day One
    We believe in being honest and clear about compensation from the start. The base salary range for this role is $90,000-120,000. Compensation decisions are based on a thoughtful review of your background, skills, certifications, and the impact you'll bring to our growing business. Posting salary ranges upfront is part of our commitment to transparency and trust.
  • Benefits
    Your health and financial well-being matter to us. That's why we offer medical, dental, and vision insurance, short-term disability, life insurance, and a 401(k) with a generous 6% company match, all available starting your first day and activating on the first of the month following your start date.
  • Real Work-Life Balance
    We believe great work happens when people feel supported, energized, and trusted. Our hybrid schedule gives you the structure to collaborate in person and the space to focus and recharge.
  • A Culture That Walks the Talk
    Our team motto is "Be a Commando." To us, that means stepping in wherever needed, taking ownership without waiting to be asked, solving problems with creativity and grit, and supporting your teammates without ego. It reflects a culture of accountability, resilience, and teamwork where everyone is willing to roll up their sleeves to get the mission done. We are building a company where everyone belongs. Inclusion is not a checkbox. It is woven into how we hire, grow, and work every day.

This role is hybrid in Fort Lauderdale, Florida with three in office days expected each week.

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职位详情

2026年5月21日

全职

公司

2026年5月21日

混合

USD 90k–120k yearly

太阳能 , 储能

Blue Sky Utility

blueskyutility.com

  •  劳德代尔堡,美国

3+ years in treasury, corporate finance, or project finance

UTC-04:00