Who we are:
New Fortress Energy LLC (NASDAQ:NFE) is a multi-billion dollar, publicly-traded, global energy infrastructure company founded to help accelerate the world's transition to clean energy. The company funds, builds and operates natural gas infrastructure and logistics to rapidly deliver fully integrated, turnkey energy solutions that enable economic growth, enhance environmental stewardship and transform local industries and communities. NFE has an enterprise value of approximately $2.5 billion.
We believe that everyone should have access to affordable energy; however, billions of people around the planet still lack this critical element for quality of life and economic growth. Founded in 2014, we have embarked on an international expansion, driven by our vision of a world in which electricity is no longer a luxury good.
Today, we deliver a completely integrated and customized energy solution for our customers to help them benefit from natural gas. Our world-class team has expertise across power, infrastructure, transportation and LNG, and we have developed a proven track record building and operating liquefaction facilities, onshore and offshore regasification terminals, pipelines, power plants, and various small scale solutions.
NFE is searching for a Senior Manager, Treasury that will assist with execution and management of the Company's Treasury function. The successful candidate is detail driven and organized, and delivers operational and technical expertise in a collaborative cross-functional environment. This person will be technically savvy, outgoing and personable while working with constituents both internally and externally.
What you will do:
Develop and manage cash flow forecasting process, analysis, reporting and scorecard
Oversee and manage domestic and international banking relationships for cash and treasury management services, continue to drive receipt of best in class products and services while striving for banking fees optimization
Assist with maintenance of asset management relationships, investments, and investment policy
Improve and provide solutions to streamline existing operational processes to increase efficiencies
Maintain controls, policies and procedures in support of Treasury functions and activities
Partner with Tax, Legal, and Accounting teams to execute overall global cash planning
Help to manage Treasury compliances in the area of SOX control and audit management
Other responsibilities as assigned by the Company
What you bring:
Bachelors degree in Finance, Economics, Accounting or MIS preferred
5+ years of experience in relevant or similar roles, including accounting or finance, preferably in treasury
Excellent working knowledge of Microsoft Excel required: pivot tables, v-lookups, etc
Strong analytical and communication skills
Experience using various treasury, banking and financial reporting systems
Ability to adapt to varied and changing responsibilities in a fast-paced, evolving environment
What we offer:
We're honored to be named one of Crain's top 100 places to work in NYC! We offer our employees a generous vacation policy, healthy snacks, team events, medical, dental + vision coverage, commuter benefits, 401K, healthcare concierge, free short term, long term disability and life insurance. We have passionately invested in your physical health and schedule with a high end onsite gym and showers!
Our commitment to diversity + inclusion:
New Fortress Energy is an equal opportunity employer and promotes a diverse and inclusive workplace. NFE considers all applicants without regards to race, color, religion, national origin, age, sex, marital status, ancestry, physical or mental disability, veteran status, gender identity, or sexual orientation.
New Fortress Energy LLC