Job Description
Job Description
Geronimo Power (formerly National Grid Renewables) develops, owns and operates large-scale power assets throughout America’s Heartland, including solar, wind and energy storage. As a farmer-founded and community-focused business, Geronimo Power equips landowners and rural communities with sustainable revenue to ignite local economic growth. Geronimo Power is a portfolio company managed by Brookfield Asset Management. To learn more about Geronimo Power, visit geronimopower.com or follow the company on LinkedIn.
Job Purpose
The Market Analytics team provides forward-looking insights that guide investment, trading, and risk decisions across Geronimo’s portfolio. Our business case centers on leveraging best-in-class data, models, and market intelligence to quantify risks and opportunities in rapidly evolving U.S. power markets. The Market Analyst will work closely with our energy trading team to design, develop, and maintain reporting that supports daily decision-making, while also strengthening risk management processes. This role will play a critical part in connecting market fundamentals with commercial activity, ensuring that trading strategies are informed by accurate data and timely analysis. The Analyst will collaborate across teams to identify key exposures, streamline reporting workflows, and provide actionable insights that enhance both performance and oversight.
Main Responsibilities
- Support daily energy market transaction activity from analysis, through execution, and position reports.
- Research P&L drivers and underlying risks and opportunities and communicate to executive leadership.
- Build, automate, and maintain dashboards and reports to support trading and risk decisions.
- Research regulatory, policy, and market trends across U.S. power regions.
- Manage and automate large energy market datasets to ensure accuracy and efficiency.
- Liaise across internal functions associated with trading to explore and analyze new strategies for revenue return.
Qualifications
- Bachelor’s degree in finance, economics, engineering, mathematics, renewable energy, or similar disciplines. Advanced degrees and certifications are highly valued, not required.
- 1-3+ years of related experience in energy markets, trading, hedging and/or risk management principles or relevant courses.
- Curious, creative, analytical, results-driven, high-energy, collaborative, optimistic individual.
- Familiarity with energy and financial markets, trading, hedging and risk management principles. Knowledge of FTRs and congestion hedging highly valued, not required.
- Ability to translate model outputs into business insight & articulate impact of results on the business.
- Advanced Excel skills and Power BI/Tableau dashboard knowledge
- Strong communication skills – verbal, written and ability to present complex issues effectively.
- Preferred Python, VBA, SQL, or other programming skills.
Location
- Minneapolis
Pay Range for the posted level: Minimum of $70,000 – 85,000.00
We offer a comprehensive benefit package, including Medical, Dental, 401(k) and disability benefits.