Treasury & Finance Manager (Renewable Energy)
Join a fast-growing organisation in the energy transition space. This role offers a unique opportunity to work at group level with exposure to regional operations, funding activities, and senior-level reporting across multiple jurisdictions.
Key Responsibilities :
Cash & Working Capital Management
- Drive day-to-day oversight of group liquidity and cash needs across a network of regional entities
- Coordinate internal and external cash movements, ensuring timely funding support for operational teams
- Liaise with finance and project teams to assess working capital requirements across cycles
Funding & Capital Support
Support the structuring and execution of internal and external financing arrangementsPrepare funding documentation and coordinate with legal and external lenders as requiredMaintain oversight of ongoing debt obligations, interest schedules, and compliance milestonesFinancial Planning & Senior Reporting
Build and refine cash flow forecasts and funding models at a group and entity levelAssist in the preparation of board-level reporting, scenario analysis, and shareholder updatesConsolidate group-wide financial data and contribute to strategic planning cyclesBanking & Risk Coordination
Engage with financial institutions to support ongoing banking relationshipsTrack currency and interest rate exposures; propose appropriate mitigation strategiesSupport the leadership team with insight into financial risk factors across operating regionsKey Requirements :
Minimum of 8-10 years of experience in a regional treasury, corporate finance, or FP&A capacityBackground in asset-heavy sectors such as energy, infrastructure, or industrials preferredExperience navigating cross-border cash operations and intercompany funding structuresStrong analytical skills, advanced Excel proficiency, and a proactive mindsetConfidence working independently in a high-growth, evolving environment