Manager, Long-Term Pricing and Structuring
On-siteHouston, Texas, United States
Job Summary
Define and optimize the hedging strategy for the Long-Term Portfolio, structuring merchant exposure solutions with Asset Management teams. Develop and maintain quantitative models for asset valuation, energy margin forecasting, and contract pricing to support investment decisions and Final Investment Decisions (FIDs). Measure merchant and volumetric risks through sensitivity analyses and stress testing, while collaborating with Trading, Finance, and Risk teams to ensure consistent methodologies. Provide senior leadership with actionable market intelligence and long-term outlooks to drive portfolio optimization and value creation across renewable and thermal assets.
Required Qualifications
- Master's degree in Economics, Finance, Engineering, Mathematics, Energy Markets, or a related discipline
- 10-15 years of experience in asset valuation, energy markets, risk management, portfolio management, structured transactions, or long-term commercial strategy within the energy sector
- Deep knowledge of U.S. and wholesale power markets, including pricing mechanisms, market fundamentals, regulatory frameworks, and long-term market dynamics
- Strong understanding of power generation assets and revenue drivers, including combined cycle gas turbines (CCGT), renewable energy assets, energy storage, and merchant market exposures
- Proven expertise in valuation methodologies, long-term forecasting, and risk analysis to support investment, financing, and commercial decision-making
- Strong analytical and quantitative capabilities, with experience developing and applying complex pricing, valuation, and portfolio optimization models
- Advanced statistical analysis and modeling skills, with proficiency in Excel and quantitative programming tools such as Python, R, MATLAB, BID3, Plexos, PSO, or similar platforms
- Excellent communication and presentation skills, with the ability to translate complex analytical concepts into actionable insights for both technical and non-technical stakeholders
- Ability to influence decision-making and build strong relationships across Trading, Asset Management, Finance, Investments, Risk, and Senior Leadership teams
Desired Qualifications
- Experience supporting investment evaluations, mergers and acquisitions (M&A), project financing, and Final Investment Decisions (FIDs)
- Demonstrated expertise in economic analysis, asset valuation, and financial modeling for large-scale energy infrastructure projects
- Proven ability to operate effectively within complex, highly matrixed, and cross-functional organizations
- Experience with long-term power contracts, structured products, hedging strategies, and merchant risk management
- Knowledge of renewable energy markets, environmental products, Renewable Energy Certificates (RECs), and evolving energy transition market structures
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