Manager, Assets & Long-Term Contracts Energy Management
Full-time
Total Energies
Context & Environment The United States is the world's second-largest power market, comprising seven Independent System Operators (ISOs), each with its own market structure and dynamics. As one of the fastest-growing regions in the energy sector, the U.S. market is expected to contribute approximately 30% of TotalEnergies' Integrated Power business by 2030. To support this ambitious growth strategy, TotalEnergies continues to expand and optimize a diverse portfolio of renewable and conventional energy assets, including solar, wind, thermal generation, and Battery Energy Storage Systems (BESS), complemented by long-term energy contracts. As Manager, Asset & Long-Term Contracts Energy Management , you will play a critical role in maximizing portfolio value and delivering targeted energy margins. Acting as a key link between Asset Management and Trading teams, you will help ensure commercial performance, market optimization, and effective risk management across the portfolio. Activities The Manager, Asset & Long-Term Contracts Energy Margin is accountable for delivering portfolio energy margin performance in line with the Company's approved hedging strategy and risk management framework.
Preferred Qualifications
Key Responsibilities
- Own the optimization and forecasting of energy margins across the asset and long-term contracts portfolio.
- Deliver detailed asset-level P&L attribution, performance analysis, and margin reporting, identifying value creation and optimization opportunities.
- Provide energy margin forecasts and performance insights to support financial planning, budgeting, and long-term portfolio strategy.
- Execute and monitor the approved hedging framework in close collaboration with Trading desks to manage market exposure and protect portfolio value.
- Act as the primary Trading interface for Asset Management teams, coordinating activities such as internal contract management, outage planning, and operational scheduling.
- Lead the onboarding and integration of new assets, Special Purpose Vehicles (SPVs), and long-term contracts into the portfolio management framework.
- Partner with Finance to provide analytical insights on asset performance, supporting commercial and monetization decisions.
- Develop medium- and long-term market outlooks, scenario analyses, and margin forecasts to support asset planning and long-term portfolio development.
- Build strong cross-functional relationships across Trading, Asset Management, Finance, Risk, and Commercial teams to ensure alignment on portfolio objectives and performance.
- Master's degree in Economics, Finance, Engineering, Energy Markets, or a related discipline.
- 10+ years of progressive experience in energy portfolio management, asset optimization, power markets, trading support, or a similarly analytical and commercially focused role within the energy sector.
- Strong knowledge of U.S. power markets, including energy, ancillary services, and capacity market structures.
- Solid understanding of power generation assets and operations, including renewable energy technologies, thermal generation (CCGT), and battery energy storage systems (BESS).
- Deep understanding of market fundamentals, locational marginal pricing (LMP), congestion management, and grid operations.
- Proven ability to translate complex market and portfolio analytics into actionable business insights and recommendations.
- Exceptional communication and presentation skills, with the ability to effectively engage and influence stakeholders across Trading, Asset Management, Finance, Risk, and Senior Leadership teams.
Preferred Qualifications
- Experience working within major U.S. ISO/RTO markets such as ERCOT, PJM, MISO, CAISO, NYISO, or SPP.
- Familiarity with SCADA systems, Energy Management Systems (EMS), trading platforms, asset optimization tools, and market analytics solutions.
- X
Vacancy posted 9 days ago
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