Finance Intern

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About ContourGlobal
ContourGlobal is a KKR-backed next-generation Independent Power Producer (IPP) operating across the United States, Latin America, Europe and Africa. The company manages a diversified portfolio of nearly 6 GW of renewable generation, flexible thermal power and battery energy storage assets, providing reliable, dispatchable power solutions that support the transition to a more electrified and sustainable future.
ContourGlobal is transforming into a predominantly renewable power platform through the decarbonization of its thermal fleet and the development of large-scale renewable energy and battery storage projects. Leveraging its in-house development, engineering and operational capabilities, the company currently has more than 2 GW of renewable and BESS projects under construction and approximately 15 GW in development.
Building on its advanced commercial and energy management capabilities, ContourGlobal partners with utilities, industrial customers and digital infrastructure operators to deliver tailored power solutions through long-term contracts, corporate PPAs and powered-land solutions that shorten time-to-market for data center developments.
Job Summary
The Finance Intern will support the Finance and Treasury functions in managing the company’s daily cash management, payment processing, banking activities, and financial records. The internship will provide practical exposure to treasury operations and enable the Intern to apply academic knowledge in a professional business environment.
Key Responsibilities:
In his quality of Finance Intern, the Employee shall have the following responsibilities:
- Ensure that the Contourglobal (CG) Policies are fully understood and followed at the Power Plant (including CG Essential information, Company Values, Anti-Corruption, Supplier Code of Conduct, Health Safety & Environment, obligations to local communities, etc)
- Ensure respect of Contourglobal and KivuWatt information confidentiality obligations
- Monitor daily cash positions and assist in ensuring adequate liquidity to support the company’s operational requirements.
- Forecast short- and long-term cash flow needs and provide visibility on cash requirements
- Prepare and submit payment lists for approval; process payment runs in coordination with the Accounts Payable function to ensure payment information is complete and accurate.
- Follow up to ensure all payments are successfully executed and settled by the bank.
- Maintain effective relationships with banks and financial institutions and ensure compliance with KYC and account management requirements.
- Prepare daily, weekly, and monthly treasury reports, including cash positions.
- Provide the Finance Manager with insights and analysis to support decision making on liquidity and cash management.
- Negotiate with banking partners to secure competitive foreign exchange rates and ensure FX transactions are executed at optimal market rates.
- Maintain and reconcile petty cash, ensuring that transactions are properly supported, approved, recorded, and in compliance with internal controls.
- Post bank transactions in SAP accurately and on a timely basis using the appropriate transaction codes and established workflows and perform bank reconciliations for all bank accounts by following up on outstanding or reconciling items to ensure accuracy and completeness.
- Record and clear customer cash receipts in SAP on a timely and accurate basis, ensuring all receipts are properly recorded, and the customer account is reconciled.
- Ensure compliance with internal audit standards, treasury policies and applicable regulations.
- All other tasks as requested by employee’s supervisor and/or the Finance Manager.
Qualifications & Skills:
- Bachelor’s degree in Accounting, Finance, Business Administration or related field.
- A professional accounting certification (ACCA, CPA) is strongly preferred
- Proficiency in Excel and other MS Office applications.
- Good communication and interpersonal skills, with the ability to work effectively across departments.
- Sense of confidentiality, ethics, and compliance.
Our Values
- «We» is our greatest asset
- We respect and protect the environment
- We are doers, committed to doing things right
- We act with integrity and transparency
- We think and act like entrepreneurs
Working @CG:
- We foster a culture where individuals are empowered to succeed, contribute and shape the future of sustainable energy.
- Cross-border collaboration shapes our way of working: our diverse workforce reflects the multicultural environment we embrace every day.
- We offer a competitive compensation package: we believe in meritocracy and rewarding meaningful contributions.
ContourGlobal provides equal employment opportunities and maintains a diverse workforce that reflects the rich environment of our society and the markets in which we operate.
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