Portfolio Analyst (Solar Energy)

3.0 - 8.0 years

7.0 - 11.0 Lacs P.A.

Mumbai

Posted:1 week ago| Platform: Naukri logo

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Skills Required

Risk assessmentSolar energyCost reductionMarket researchAsset managementRisk managementForecastingOperationsFinancial modellingPerformance improvement

Work Mode

Work from Office

Job Type

Full Time

Job Description

Job Overview: The Portfolio Analyst will play a key role in monitoring, analyzing, and optimizing the performance of the companys solar energy portfolio. This position requires a strong understanding of financial modeling, asset performance tracking, and risk assessment to support decision-making for solar investments, asset management, and operational improvements. The ideal candidate will collaborate with finance, operations, and engineering teams to ensure maximum efficiency and profitability of solar projects. Key Responsibilities: 1. Portfolio Performance Monitoring & Analysis: Track and analyze the financial and operational performance of solar assets. Monitor key metrics such as energy generation, efficiency, downtime, and ROI. Identify trends, risks, and areas for performance improvement. Develop dashboards and reports to provide real-time portfolio insights. 2. Financial Modeling & Investment Analysis: Conduct financial modeling, forecasting, and variance analysis for solar projects. Evaluate returns, cash flows, and risk exposure for existing and potential investments. Support capital allocation decisions and investment strategies. Work closely with investors and stakeholders to provide performance updates. 3. Market Research & Regulatory Compliance: Research solar industry trends, regulatory policies, and incentive programs. Ensure portfolio compliance with local, state, and national energy regulations. Assess the impact of policy changes on portfolio performance and investment returns. 4. Risk Management & Asset Optimization: Identify operational and financial risks in the solar portfolio. Recommend strategies for efficiency improvement, cost reduction, and asset optimization. Coordinate with the operations and maintenance teams to address underperforming assets. 5. Reporting & Stakeholder Communication: Prepare monthly, quarterly, and annual reports for management and investors. Present key findings, trends, and recommendations to senior leadership. Act as a liaison between finance, operations, and investment teams.

Artha Real Estate
Not specified
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