NiSource

Senior Corporate Finance Analyst

NiSource

full-time

Posted on:

Location Type: Hybrid

Location: ColumbusOhioUnited States

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Salary

💰 $82,200 - $123,200 per year

Job Level

About the role

  • The Corporate Finance team within Treasury is a dynamic, fast paced environment with responsibility for managing the internal and external financing needs of NiSource and its subsidiaries.
  • Focus on efficiently funding NiSource’s growth strategy and supporting its stakeholder commitments while building and maintaining meaningful, collaborative relationships with internal and external business partners.
  • Provides value-added financial services to both internal and external customers.
  • May assume responsibility for financial activities, including but not limited to reviewing and interpreting the impact of financial reporting proposals promulgated by governing bodies; preparing analytical studies on historical, forecast, and pro-forma financial data; developing comprehensive financial data reports for both internal and external customers; and providing other needed expertise and reporting to accurately reflect and manage financial matters.
  • Identifies and understands issues, problems, and opportunities; compares data from different sources to draw conclusions; uses effective approaches for choosing course of action or developing appropriate solutions; takes action that is consistent with available facts, constraints, and probable consequences.
  • Compiles, organizes and formats data, including qualitative analysis required for internal and external reporting.
  • Supports regulatory initiatives by gathering data and preparing regulatory schedules and/or preparing pro-forma calculations, testimony and data requests; Assists with review and analysis of regulatory documents; Appreciates the application of the regulatory construct to our business.

Requirements

  • Requires four year degree in business discipline
  • Strategic modeling experience across all three financial statements (income statement, balance sheet and cash flow statement)
  • Requires knowledge of PC applications
  • Prefer CPA
  • 2-4 years of experience in finance, accounting, regulatory or a related field
  • Requires multiple functional experience
  • Financial Acumen- Understands basics of finance and accounting, including the relationships between segments of the financial statements (e.g. balance sheet, income statement, and cash flow)
  • Continuous Improvement - Originating action to improve existing conditions and processes; identifying improvement opportunities, generating ideas, and implementing solutions.
  • Data analysis - Analyze information from a variety of sources to detect trends, associations, cause-effect relationships and other anomalies.
  • Time management - Effectively manage his or her time to ensure deadlines are met and quality is achieved.
  • Networking- Pursue opportunities to network with different parts of finance as well as other parts of NI.
  • Quality Orientation- Produces processes, tasks, and work products to ensure freedom from errors, omissions, or defects.
  • Authorized to work in the United States without requiring sponsorship.
Benefits
  • Health insurance
  • 401(k) matching
  • Paid time off
  • Flexible work hours
  • Professional development opportunities
Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills & Tools
financial modelingdata analysisfinancial reportingpro-forma calculationsregulatory compliancefinancial statementsanalytical studiesqualitative analysisfinancial data reportingstrategic modeling
Soft Skills
time managementcontinuous improvementnetworkingquality orientationproblem solvingcollaborationcommunicationorganizational skillsanalytical thinkingdecision making
Certifications
CPA