Jobs · Management · Florida

Energy Scheduler

The Energy Authority · Jacksonville, FL · 5 mo ago
ManagementFull-time

Key Responsibilities

  • Implementing Trades & Monitoring Market Activities: Execute and accurately record all trading functions for our clients, including generation, load, purchases, and sales.
  • Manage daily and term transactions by creating NERC tags, handling OASIS transmission reservations, and entering data into our market portals and systems.
  • Collaborate with external partners to confirm transaction details and support traders in responding to competitive market shifts.
  • Serve as a backup for other Energy Schedulers, ready to jump in and ensure uninterrupted service.
  • Stay in sync with market trends and client portfolio needs, providing timely insights.

Data Capture & Reconciliation

  • Submit and verify power and transmission deals, keeping everything precise and up-to-date.
  • Work closely with Portfolio Management and Commercial Strategy teams to support ongoing market activities.
  • Cook with back-office teams to resolve any errors swiftly and accurately, ensuring clean data capture for Day-Ahead deals.

Technology Coordination

  • Partner with our IT team to resolve technical issues, contributing to problem-solving and logging any needed work tickets.
  • Create and execute test plans for software, ensuring smooth upgrades and high-functioning systems.
  • Build your expertise on market and software details to support our clients with comprehensive knowledge.

Training & Professional Development

  • Document and update procedures, training guides, and process descriptions to support trading activities.
  • Mentor and train new Energy Schedulers, sharing your insights and experience to strengthen our team.
  • Develop professional milestones, advancing your skills and contributing to the team’s growth.

Auditing Historical Transactions

  • Ensure the accuracy of transaction entries to meet deal precision goals.
  • Maintain a strong understanding of TEA’s risk policies and settlement rules.
  • Review and correct transaction entries, creating change tickets where necessary and helping to resolve disputes.

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