Southern California Edison (SCE)

Commercial Paper & Liquidity Advisor

Posted: 5 minutes ago

Job Description

Join the Clean Energy RevolutionBecome Commercial Paper & Liquidity Advisor at Southern California Edison (SCE) and build a better tomorrow.In this job, you’ll serve as a commercial paper trader in a corporate Treasury Operations setting manages short-term funding through the issuance of commercial paper, operating in a fast-paced and highly collaborative environment. The position will be responsible for short-term liquidity planning, reviewing future cash positions and assessing liquidity needs in coordination with cash management teams. The position will plan issuance strategies, monitor market conditions, and execute trades — often using both internal and external platforms. Key responsibilities include issuing commercial paper, confirming trade settlements, updating internal systems, running scenario planning and stress tests, and preparing daily summaries of commercial paper activity and final cash positions. Regulatory compliance is central, with traders ensuring all trades and disclosures meet SEC and internal audit standards.The position interacts regularly with a variety of internal and external contacts. Internally, the position coordinates with treasury leadership, corporate financial planning, and Controllers teams. Externally, the position engages with commercial paper dealers and brokers to gauge investor demand and negotiate pricing. The role demands strong financial acumen, negotiation skills, risk management, market analysis, and effective communication. The position is responsible for investing excess cash via investment portals. The position will also support input into quarterly and annual financial statements, audit requests, and other required reporting.As Commercial Paper & Liquidity Advisor, your work will help power our planet, reduce carbon emissions and create cleaner air for everyone. Are you ready to take on the challenge to help us build the future?ResponsibilitiesProject manages efforts and coordinate and ensure the appropriate involvement from various subject matter experts and support organizations for the Operating Unit or enterpriseConducts ad hoc analysis supporting either the financial planning or strategic analysis workstreams, as neededLeads the development and validation of complex financial models. Validates others' models and ensures accuracy and integrity of resultsReviews spending projections and derives utility revenue requirements and related analysesAssesses ongoing capital project business cases, and assists in providing recommendations for funding approval to relevant stakeholder by assessing capital structures, and performing cost of capital calculationsProvides leadership on cross-functional teams on planning activities that have significant financial impact or risk to the Operating Unit or enterpriseDelivers financial advisory support to the business including analysis of potential investments, mergers, acquisitions, or divestituresContributes to the implementation of risk management and internal controls processes that comply with accounting, organizational, and regulatory policiesDevelops cross functional relationships and interact with leaders across the company to provide guidance and lead the financial evaluation and development of business cases for capital projects and programsIdentifies and implements ways to improve working processes within the area of responsibility and communicate issues and areas for improvement to enterprise managersA material job duty of all positions within the Company is ensuring the protection of all its physical, financial and cybersecurity assets, and properly accessing and managing private customer data, proprietary information, confidential medical records, and other types of highly sensitive information and data with the highest standards of conduct and integrity.Minimum QualificationsSeven or more years of experience in financial planning, modeling and/or forecasting.Preferred QualificationsExperience working in commercial paper markets or bankingExperience working with Excel at high levelAbility to meet specific daily deadlines in regard to issuing commercial paper and investing excess cashExperience in working in a fast-paced environment with ability to adapt as neededAdditional InformationThis position’s work mode is hybrid. The employee will report to an SCE facility for a set number of days with the option to work remotely on the remaining days.  Unless otherwise noted, employees are required to work and reside in the state of California.  Further details of this work mode will be discussed at the interview stage. The work mode can be changed based on business needs.Visit our Candidate Resource page to get meaningful information related to benefits, perks, resources, testing information, hiring process, and more!Qualified applications with arrest or conviction records will be considered for employment in accordance with the Los Angeles County Fair Chance Ordinance for Employers and the California Fair Chance Act.The primary work location for this position is Rosemead, CA.About Southern California EdisonThe people at SCE don't just keep the lights on. Our mission is so much bigger. We’re fueling the kind of innovation that’s changing an entire industry, and quite possibly the planet. Join us and create a future with cleaner energy, while providing our customers with the safety and reliability they demand. At SCE, you’ll have a chance to grow personally and professionally, making a real impact in Southern California and around the world.Southern California Edison is a proud Equal Opportunity Employer, including disability and protected veteran status.We are committed to ensuring that individuals with disabilities are provided reasonable accommodation to participate in the job application or interview process, to perform essential job functions, and to receive other benefits and privileges of employment. Please contact us to request accommodations at (833) 343-0727.

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