Own budgeting, forecasting and management reporting
Build and enhance financial models and scenario analysis
Support equity, debt and JV financing initiatives
Provide commercial insight to senior leadership
Support M&A and strategic projects
Own cash flow forecasting and external debt reporting
Drive improvements across finance processes, systems and reporting
ACA / ACCA / CIMA qualified (or equivalent)
Strong FP&A / corporate finance / financial modelling experience
Excellent Excel and financial modelling skills
Commercially minded with strong stakeholder management skills
Comfortable working in a fast-paced, evolving environment
Renewable energy, infrastructure or investment experience is mandatory