Job Description
The business develops renewable energy projects and take them through a project finance process before going into construction and operations. The organization have a healthy pipeline of projects and it’s now a case of scaling the operations and delivery areas of the business to ensure that this growth is smooth and well managed.
Key responsibilities:
- Financial Management of holding companies and project companies.
- Ensure that core financial processes are carried out efficiently with full use of systems to the standards of a listed company.
- Responsible for the provision of monthly management accounts to the senior management team and Board.
- Manage annual audit process.
- Manage group cash flow support with accurate forecasting.
- Tax compliance.
- Company secretary activities.
- Manage the annual budget process and within-year forecasts, working closely with relevant teams to ensure that risks to delivery of targets are identified early and that budgetary controls are robust.
- Work with the projects team to ensure that capital expenditure is controller and early identification of risks.
- Provision of information to lenders to meet requirements of loan agreements.
- Management of outsourced payroll for rapidly growing team.