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Job Description
Analyst, Treasury (Finance) | Delta Utilities
The Tone:
This is a full-time role at Delta Utilities, located in New Orleans, LA. Delta Utilities is a natural gas utility providing safe, reliable natural gas services across Louisiana and Mississippi, serving 600,000 customers as a $1.7 billion organization. This role is crucial for supporting the company’s insurance programs and broader treasury operations, including cash management and financing activities. It offers valuable exposure to senior leadership, insurance carriers, lenders, and rating agencies, laying a strong foundation for career progression within the treasury function.
The TL;DR
• Role: Early Career
• Type: Full-time
• Location: In-person, New Orleans, LA
• Team: Treasury
• Mission: Support insurance programs and treasury operations to ensure compliance, liquidity, and effective engagement with external partners.
• Tech Stack: Excel, PowerPoint
What You’ll Actually Do
• Insurance Program Management: Support the full lifecycle of insurance programs, from coordinating performance bonds and certificates to developing underwriting materials, managing policy updates with brokers, assisting with audits, and reporting claims.
• Data Management & Compliance: Track and maintain critical operating, financial, and capital structure data to fulfill internal, investor, and lender engagement needs, ensuring compliance with debt agreements and rating agency requirements.
• External Stakeholder Engagement: Prepare presentations and materials for rating agencies, lenders, and investors, and manage the tracking of Q&A for these external interactions.
• Treasury Operations Support: Provide backup for daily cash reporting, track liquidity, and assist with maintaining cash forecasting models and broader liquidity monitoring.
• Financing Activities: Support the execution of various financing transactions, contributing to the company’s capital structure initiatives.
The Must-Haves
• Background: Bachelor’s degree in Finance, Accounting, Economics, or a related field.
• Experience: 1–5 years of experience in finance, treasury, analytics, or a related role.
• Skills: Strong Excel and data analysis skills, proficiency in PowerPoint, strong attention to detail and organizational skills, strong written and verbal communication skills, and an analytical mindset.
• Bonus: Ability to manage multiple priorities and meet deadlines, organized and process-oriented with a high level of ownership, and comfort working across functions and with external partners.