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Financial Asset Jobs (NOW HIRING)

Experience with asset management systems (Device42 or similar) and financial asset/depreciation processes * Proven experience processing and reconciling invoices and managing procurement budgets

BOK Financial Securities, Inc. and BOK Financial Private Wealth, Inc. BOKF, NA operates TransFund ... The Specialty Asset Manager I manages and maintains, under limited direction, a substantial ...

This position requires an earned associate degree (bachelor's preferred) in Business Administration, Finance, or related field and three to five years of progressively responsible experience in asset ...

This position requires an earned associate degree (bachelor's preferred) in Business Administration, Finance, or related field and three to five years of progressively responsible experience in asset ...

This position requires an earned associate degree (bachelor's preferred) in Business Administration, Finance, or related field and three to five years of progressively responsible experience in asset ...

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Financial Asset information

What is the difference between Financial Asset vs Financial Analyst?

AspectFinancial AssetFinancial Analyst
Required CredentialsNone specific; often includes basic financial literacyBachelor's degree in finance, economics, or related field; certifications like CFA beneficial
Work EnvironmentInvestment firms, banks, markets, portfoliosFinancial institutions, corporate finance departments, investment firms
Employer & Industry UsageUsed by investors, asset managers, and institutions to represent valueEmployed to analyze financial data, advise on investments, and forecast trends

Financial assets are investment instruments like stocks, bonds, or cash that hold value. Financial analysts evaluate these assets and market data to guide investment decisions. While financial assets are the assets themselves, financial analysts are professionals who analyze and interpret data related to these assets to help clients or companies make informed financial choices.

What is a financial asset?

Financial assets are intangible assets that derive their value from a contractual claim, such as bank deposits, bonds, and stocks. Unlike physical assets like real estate or machinery, financial assets represent ownership of value or the right to receive payments in the future. They are widely used for investment, savings, and raising capital. The value of financial assets can fluctuate based on market conditions, interest rates, and the financial health of issuers.

What are the key skills and qualifications needed to thrive as a financial asset manager, and why are they important?

To thrive as a Financial Asset Manager, you need strong analytical skills, financial modeling expertise, and a relevant degree such as finance or economics, often supported by certifications like the CFA. Proficiency with portfolio management software, Bloomberg Terminal, and risk assessment tools is typically required. Excellent communication, decision-making, and client relationship skills help distinguish top performers in this field. These skills are crucial for making informed investment decisions, managing portfolios effectively, and building trust with clients.

What are some common challenges faced by professionals managing financial assets, and how can they overcome them?

Professionals managing financial assets often face challenges such as market volatility, regulatory changes, and balancing risk versus return for clients or organizations. Staying updated with market trends and continuously enhancing analytical skills are crucial for success in this role. Collaboration with research analysts, compliance officers, and portfolio managers helps in making informed decisions. Regular training and leveraging financial technology tools can further mitigate risks and improve asset management outcomes.
More about Financial Asset jobs
Infographic showing various Financial Asset job openings in the United States as of August 2026, with employment types broken down into 1% As Needed, 84% Full Time, 13% Part Time, and 2% Contract. Highlights an 90% Physical, 3% Hybrid, and 7% Remote job distribution.

Financial Asset Manager, Renewable Energy Portfolio

ClearGen Holdings, LLC

Charlotte, NC โ€ข On-site

Full-time

Posted 15 days ago


Job description

About US

ClearGen Holdings LLC ("ClearGen") is a capital partner focused on distributed energy infrastructure across North America. Backed by CBRE Investment Management, we provide flexible capital solutions that help developers, sponsors, and asset owners bring projects from late-stage development through operations. Our investments span commercial and industrial solar, community solar, battery energy storage, energy efficiency infrastructure, EV charging, and other distributed energy technologies.

Founded in 2020, ClearGen has grown from an entrepreneurial startup into a rapidly scaling investment platform while maintaining the agility, accountability, and collaborative culture that have defined us from the beginning. Our work is guided by five Core Values—Empowered, Resourceful, Grounded, Candid, and Rigorous—which shape how we make decisions, work together, and build lasting partnerships. We believe exceptional results come from exceptional people who take ownership, communicate openly, think creatively, and pursue excellence with humility and discipline.

As our portfolio and transaction volume continue to grow, so do the opportunities for our team. At ClearGen, you'll work alongside experienced investment professionals in a lean organization where your ideas are heard, your contributions are visible, and your work has a meaningful impact on the company's success.

About the Role

The Financial Asset Manager is responsible for understanding and improving the financial performance of ClearGen’s renewable energy investments. This individual will determine whether assets are performing as expected, identify problems and opportunities, investigate the driving factors, and help ensure that the right actions are taken to improve performance.

This is a role for a curious and persistent problem solver who wants to understand what is happening within the assets, why it is happening, and what can be done about it. Financial analysis is the primary tool for that work. The Financial Asset Manager will maintain the corporate asset model, evaluate actual results against budgets, forecasts, and investment base cases, investigate material variances, and connect the numbers to the underlying performance of the assets.

Success requires fluency in financial statements and complex financial models, analytical depth, and strong interpersonal judgment. This person must have the confidence to ask direct questions, even when they are uncomfortable, while remaining diplomatic and constructive. They must challenge incomplete explanations, secure clear commitments, follow up consistently, and stay with an issue until it is understood and resolved.

As ClearGen’s portfolio grows, this role will help establish the processes, insights, and financial discipline needed to manage a larger and increasingly complex portfolio successfully. The Financial Asset Manager will work across the organization and engage directly with ClearGen’s executives, Board, investment partners, and operating partners. Their work will influence asset performance, operational improvements, future underwriting, financing, capital allocation, and the long term performance of the business.


Responsibilities

  • Own and maintain ClearGen’s corporate asset model, ensuring accurate and consistent financial data, forecasts, assumptions, and documentation.
  • Monitor asset and portfolio performance against budgets, forecasts, and investment base cases, with a focus on cash flow, returns, risk, and investment value.
  • Investigate material variances and underperformance, using financial statements, investment models, operating data, and partner reporting to identify root causes and financial implications.
  • Identify emerging risks, recurring trends, and opportunities to improve financial performance and protect investment value.
  • Work directly with investment partners and asset operators to resolve discrepancies, establish corrective actions, and drive issues through completion.
  • Prepare clear, decision useful reporting for senior management and investment stakeholders, highlighting material performance drivers, risks, and recommended actions.
  • Partner with Accounting, Finance, Investments, Legal, and operational asset management to connect financial performance with operating conditions, transaction structures, and contractual requirements.
  • Support budgeting, forecasting, long range planning, and the transition of newly acquired or financed assets into Asset Management.
  • Compare actual performance with underwriting assumptions to help strengthen future investment decisions and underwriting standards.
  • Improve and automate portfolio monitoring, variance detection, reporting, and follow up processes as the portfolio grows.

What You’ll Bring

  • Bachelor’s degree in Finance, Accounting, Economics, Business, or a related quantitative field, or equivalent relevant experience.
  • Four or more years of progressive experience in financial asset management, project finance, investment management, financial analysis, portfolio analytics, or a related field.
  • Strong financial modeling and financial statement analysis skills, including experience evaluating actual results, forecasts, cash flows, investment returns, and performance against budgets or base cases.
  • Demonstrated ability to investigate discrepancies, assess supporting information, identify root causes, and develop independent conclusions.
  • Advanced Excel skills, including pivot tables and experience analyzing large financial data sets. Familiarity with AI or other analytical tools is a plus.
  • Sound business judgment and the ability to prioritize issues based on financial materiality and economic impact.
  • Strong communication and relationship management skills, including experience presenting complex financial findings and working with external stakeholders to resolve performance issues.
  • Ability to manage multiple priorities independently, maintain attention to detail, and drive issues through resolution.
  • Work Authorization: Applicants must be currently authorized to work in the United States without the need for current or future visa sponsorship.

Preferred Experience

  • Experience in renewable energy, infrastructure, project finance, structured finance, or another asset intensive investment environment.
  • Experience monitoring post close investment or operating asset performance and maintaining asset or portfolio models.
  • Familiarity with renewable energy revenue models, tax credit transactions, financing arrangements, and investment partnership structures.
  • Experience automating financial reporting, variance monitoring, dashboards, or portfolio management processes.
  • CFA, CPA, MBA, or another relevant advanced credential.

Location/Schedule

The role is based in Charlotte’s Ballantyne neighborhood and offers a hybrid work arrangement that combines collaboration and flexibility. Employees work in the office on Monday, Tuesday, and Thursday, with remote work optional on Wednesday and Friday. Our current search is focused on candidates who can meet these in-office requirements.

Equal Employment Opportunity Statement

ClearGen is an Equal Opportunity Employer. Qualified applicants are considered for employment without regard to race, color, age, national origin, religion, marital status, sex, sexual orientation, gender identity, gender expression, genetics, disability, protected veteran status or any other basis prohibited by law. We are committed to a diverse and inclusive workplace. 

Conflict of Interest

ClearGen is committed to ethical business practices. We strive to maintain transparency and accountability in all aspects of our operations. To uphold these values, we request that all applicants disclose any potential conflicts of interest that may arise from their personal or professional relationships or affiliations. This includes any financial investments, partnerships, or other interests that may pose a conflict with our investments or the firm's objectives. We understand that conflicts of interest can arise in various forms, and we encourage applicants to be forthcoming in their disclosures. All information provided will be treated confidentially and evaluated in the context of the specific position and its responsibilities.   

Recruitment Notice

Please note: We are not working with any search firms or external recruiters for this position. No third party is authorized to represent our company or this opportunity. Candidates should be cautious of any misleading outreach, as we will not accept unsolicited resumes or referrals from outside agencies.