Finance Manager (Assets)

Job type:Permanent
Sector:Oil & Gas, Renewable Energy and Mining
Location:London
Location Specifics:Central London
Salary:£85 000 plus 30% annual bonus, 10% pension, healthcare, insurance and benefits
Job ref:NC100925
Scroll

About the Role

We are partnered with a growing clean energy business who have enjoyed a transformational year, bringing onstream several of their international projects. Reporting into senior leadership and with C-Suite interaction, this role will support multi-country projects across their full lifecycle from development into construction and through to operations, while managing a team based locally and overseas. Key responsibilities include:

 

  • Overseeing day-to-day accounting and financial reporting for project entities
  • Preparing monthly balance sheets, P&L, cash flow, and variance analysis
  • Managing treasury, tax, statutory accounts, and audit processes
  • Leading budgeting, reforecasting, and financial planning activities
  • Where required, M&A support regarding investment reporting and due diligence
  • Supporting project finance activities, including loan management, covenant testing, and due diligence

 

We are searching for a qualified Accountant (ACA/ACCA/CIMA) with a strong background in asset / project finance, ideally focused on renewables or an infrastructure / capex intensive environment. Applicants should be able to demonstrate experience and qualities including:

 

  • Knowledge of IFRS, management reporting and ERP systems
  • Practical experience in accounting for project finance including debt and covenant reporting
  • Skilled communicator and team leader
  • Track record of driving improvements
  • Adaptable, detail-oriented, and confident in a high-performance environment

 

This is a compelling opportunity to join a mission-driven organisation at the forefront of the global energy transition. You’ll play a pivotal role in shaping the financial success of high-profile projects worldwide, while working closely with senior leadership in a business that truly values innovation, impact, and professional growth.

More jobs from this recruiter

View All

Group Head of Financial Planning & Analysis (FP&A)

Central London
London
£180 000 plus annual bonus, MIP, pension, healthcare and benefits
We are partnering with a leading, multi-billion-dollar revenue business, backed by blue-chip private equity, to appoint a Group Head of Financial Planning & Analysis. Headquartered in London (3dpw in the office), the company has an exceptional record of profitability and global expansion, with significant capital to deploy in the coming years.

Head of Treasury Operations

Central London
London
£100 000 plus bonus, pension and benefits
We have partnered with a leading multinational on the search for a Head of Treasury Operations to join their London team. A highly successful organisation which completes multiple acquisitions on an annual basis, the business has significant capital to further their growth aspirations around the world. This role offers the chance to shape treasury operations at a global level, modernise processes, and strengthen relationships with key banking partners.

Finance Manager (Assets)

Central London
London
£85 000 plus 30% annual bonus, 10% pension, healthcare, insurance and benefits
We are partnered with a growing clean energy business who have enjoyed a transformational year, bringing onstream several of their international projects. Reporting into senior leadership and with C-Suite interaction, this role will support multi-country projects across their full lifecycle from development into construction and through to operations, while managing a team based locally and overseas. Key responsibilities include:

Group Treasury Manager

Central London
London
£100 000 - 125 000
We are seeking an experienced Group Treasury Manager to lead and manage all treasury operations for a growing international energy business. You will be responsible for cash flow forecasting, liquidity management, banking relationships, and supporting financing activities. This is a hands-on role in a well-funded, fast-paced business where you will have the opportunity to build and shape a best-practice treasury function.