Senior Financial Analyst (Hybrid)
Job Description
Sempra: Where opportunity powers impact
At Sempra, we tackle the biggest energy challenges that face ourindustry. Our high-performing team leverages the full capabilities ofour organization to serve 40 million consumers across NorthAmerica. By collaborating and challenging one another acrossmultiple disciplines, we inspire our best work, ideas andinnovation. From increasing liquified natural gas (LNG) capacitiesto reducing carbon emissions to helping people prepare for therealities of climate change, we are committed to building a betterenergy future for all.
Primary Purpose
The Corporate Finance department is responsible for the planning, execution, reporting, and back-office management of long-term debt, equity, and derivatives transactions for Sempra and its domestic and foreign affiliates. The group represents the eyes
and ears of the capital markets for the organization and works closely with multiple groups to support market-based analysis,
including reviewing strategic investments and decisions to determine impact on balance sheet and credit. The group also
manages rating-agency relationships for Sempra and its U.S. rated affiliates.
The primary purpose of the Senior Financial Analyst role is to perform Treasury activities including forecasting, financial reporting,
capital markets and derivatives analysis and execution, prepare presentation materials, and conduct research across multiple
functions throughout the organization. Interact with internal groups and external advisors and deliver results to multiple internal
and external stakeholders for highly visible projects.
Duties and Responsibilities
- Reviews rating agency publications and monitors credit metrics, including preparation and maintenance of internal credit metric models.
- Supports Corporate Finance personnel in understanding and modeling economic and credit rating impacts of Sempra and business unit opportunities in order to develop views around ratings implications and rating agency messaging.
- Responds to ad hoc data-research and analysis requests from executives and business units, including those associated with regulatory proceedings.
- Supports the recurring financial reporting and analyses to internal and external stakeholders related to for debt, equity and derivatives transactions, including various schedules and analyses for quarterly 10-Q and annual 10-K reporting.
- Analyzes and executes various financial transactions, including long-term debt, equity, and interest rate and foreign exchange hedging.
- Partners with Corporate Accounting to determine the proper application of GAAP to novel financing structures and hedging approaches.
- Prepares high quality presentation materials as directed.
- Performs other duties as assigned (no more than 5% of duties).
All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, citizenship, disability or protected veteran status.
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