Finance Manager
PARIS, 75
il y a 15 heures
- Drive the annual budgeting cycle, rolling forecasts, monthly performance reviews and management reporting for the organisation.
- Maintain a joined-up view of the P&L, balance sheet and cash flow, with clear variance commentary and follow-up actions.
- Prepare the finance and performance content for Board and investor materials ahead of CFO review.
- Develop a rolling 13-week cash forecast alongside a medium-term liquidity plan, flagging funding needs early.
Accounting, Close & Controls
- Take ownership of the monthly close timetable, ensuring revenue, costs, accruals and provisions are recognised correctly.
- Oversee outsourced bookkeeping, payroll preparation and statutory accounts, and liaise with auditors and external advisers.
- Design approval hierarchies, payment controls, procure-to-pay processes and anti-fraud safeguards.
- Lead a controlled rollout of e-invoicing and maintain strong audit trails throughout.
Tax, Insurance & Compliance
- Manage the internal tax calendar and coordinate corporate, VAT and project-related tax matters with outside advisers.
- Coordinate insurance arrangements for the corporate entity and its projects with brokers, spanning construction, operational and liability cover.
- Monitor claims, policy renewals, terms and any evidence required by lenders or counterparties.
- Keep finance policies, records and controls documented and fit for the organisation's current scale.
Settlement & Revenue Oversight
- Oversee the end-to-end revenue control framework for the organisation's optimisation-service contracts.
- Independently check settlement outputs, invoices, provisions, receivables and revenue reconciliations prepared by the Finance Operations team.
- Work with Finance Operations, Data and Technology colleagues to prioritise finance-system improvements and automation.
Team & Stakeholder Management
- Manage, mentor and organise the Finance Operations Analyst and the Administrative & Finance Assistant.
- Partner with the Deputy CFO responsible for Transactions & Financing on debt, offtake agreements, shareholder matters and intercompany service arrangements.
- Ensure a smooth handover from deal execution into post-closing finance operations.
- Provide the CFO with decision-ready analysis and escalate significant risks in a timely manner.
Candidate Profile
- Five to eight years of relevant experience gained in an audit firm, an energy or infrastructure business, an independent power producer, a developer, an investment platform, or a comparably complex environment.
- Solid grounding in accounting, FP&A, cash management and internal controls; prior exposure to project finance or SPV structures is a strong advantage.
- Comfortable operating at both a detailed, hands-on level and in senior decision-support settings.
- Strong financial modelling and spreadsheet capability, with confidence implementing finance systems and automated workflows.
- Fluent in the local working language plus professional-level English.
- A hands-on, rigorous mindset with a willingness to build processes from the ground up rather than step into an already-mature setup.
About the Organisation
The organisation develops, owns and operates large-scale battery storage assets, while also optimising third-party battery capacity through its own proprietary trading models to generate value across trading, balancing and ancillary power markets.
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Entreprise
BOSS Energy Consulting
Plateforme de publication
WHATJOBS
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