Role Overview
Join PG&E’s Capital Recovery and Analysis Team to shape the financial future of the company. The team manages financial analysis and support for capital forecasts and budgets, influencing regulatory rate cases.
What You Will Do
Collaborate with departments, prepare and review regulatory decisions, present variance analysis, and strategize for success in forecasting capital revenue requirements.
Why It Might Be a Fit
This role is exciting because you’ll play a key role in developing and implementing processes and tools for budget and financial forecasts, analyzing business results, and advising partners on operational impacts.
Requirements
- Bachelor’s degree in accounting, finance, or business, or relevant field or equivalent work experience
- 6 years of experience in finance or accounting or related field
- Microsoft Excel proficiency
- Can use logic to solve problems, does not stop at first answers
- Strong analytical skills with an attention to detail and passion for excellence
- Strong written and communication skills
Benefits
- Dental insurance
- Vision insurance
- 401(k) or retirement plan
- Discretionary incentive compensation programs
To apply for this job please visit careers.pge.com.

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