We’re financing the future of energy
Crux is the capital platform for the clean economy. We modernize capital raising and deployment for clean energy and critical infrastructure with solutions across advisory, investments, technology, and intelligence.
Our team of 95+ is composed of experts in energy, tax, finance, government, and technology. We have raised $77 million in capital from some of the best investors, including Andreessen Horowitz, Lowercarbon Capital, New System Ventures, Overture, Ardent Venture Partners, QED, Canapi, and others. These funds are joined by strategic investors including Pattern Energy, Clearway Energy, EDF Renewables, Intersect Power, LS Power, Orsted, Hartree Partners, Liberty Mutual Strategic Ventures, MassMutual Ventures, and OMERS Ventures.
An inflection point in American energy and manufacturing
Energy demand is growing for the first time in decades, driving an urgent need for more affordable and reliable electricity. More electricity requires new clean energy infrastructure and strong domestic supply chains for minerals and components — as well as large amounts of capital.
Traditional project financing is opaque, fragmented, and analog. At Crux, we’re changing that. Through unmatched insights and expertise, white-glove service, purpose-built tools, and risk underwriting, we power a more prosperous, clean, and secure energy future.
We are scaling quickly and looking for team members who are eager to combine deep expertise with an AI- and tech-forward mindset.
The Opportunity
Role Overview
As VP, Strategic Finance and FP&A, you will serve as the CFO’s primary analytical partner. You will own Crux’s financial planning and analysis engine - building forecasting models, scenario analyses, analytics, and capital allocation frameworks that drive the company’s most consequential decisions. You will create the financial frameworks, planning discipline, and decision-support tools that help Crux allocate resources effectively as it scales.
This role sits at the intersection of finance, strategy, and operations, requiring someone who can translate complex financial data into clear recommendations for the executive team and Board. You will report to the CFO and work closely with the CEO and COO.
This is a high-impact, highly visible role for someone who thrives in dynamic, high-growth environments and wants to shape how a category-defining company deploys its resources. This role is initially a hands-on leadership position with the opportunity to build processes, systems, and team capacity over time.
What You’ll Do
Forecasting & Planning
Own the company’s integrated financial model, annual operating plan, and multi-year forecast
Lead company-wide budgeting and planning cycles, aligning functional plans with strategic priorities
Improve forecasting accuracy, planning rigor, and decision-useful reporting across the business
Capital Allocation
Establish a disciplined capital allocation framework tied to long-term value creation
Partner with the CFO and executive team to evaluate trade-offs across hiring, compensation, vendor spend, product investment, and strategic initiatives
Develop financial frameworks to assess returns, risks, and resource prioritization across the company
Strategic Finance
Support the CFO and executive team on strategic finance initiatives, including capital planning, financing analysis, and select corporate priorities
Partner cross-functionally to improve financial processes, operating discipline, and scalability as the business grows
Financial Analysis & Metrics
Build scalable dashboards, reporting systems, and analytical tools that improve visibility into business performance
Support business leaders with analysis that sharpens decision-making and reinforces accountability
Translate financial and operating performance into clear insights for the executive team and Board
Risk, Liquidity & Treasury
Identify and assess financial, operational, regulatory, liquidity, and counterparty risks
Develop risk mitigation frameworks and present recommendations to the executive team
Oversee corporate treasury operations, including cash management, liquidity planning, and banking relationships
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Monitor compliance with financing covenants and reporting obligations, as applicable
What You Bring
8–12+ years of experience in strategic finance, FP&A, investing, private credit, or related finance roles
Strong financial modeling skills and a track record of influencing important business and capital allocation decisions
Excellent judgment in planning, resource allocation, and risk assessment
Ability to distill complex analysis into clear recommendations for executive leadership and Board-level audiences
Demonstrated experience building scalable financial planning, reporting, and operating processes
Comfort operating in dynamic, high-growth environments with evolving priorities
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Strong interest in leveraging technology and AI day to day
What We Bring
We provide equal employment opportunities to all applicants without regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by law.