05 ago - Roma
Michael Page International Italia
- Coinvolgente opportunità professionale settore investimenti energetici
- Sede Roma
Azienda
Di seguito troverà tutto ciò che deve sapere su questa opportunità e sui requisiti richiesti ai candidati.
Organization operating in the renewable energy investment sector, with a particular focus on solar power. It is involved in acquiring, aggregating, and enhancing existing solar assets, improving their technical and financial performance over time.
Offerta
This role is designed for a high‑potential finance professional ready to take ownership of group‑level planning processes and contribute to live deal execution. Direct exposure: the role reports to the Managing Director and interacts regularly with the CFO, senior management and the Board on strategy, performance and capital allocation topics.
Financial Planning & Forecasting
- Lead group-wide budgeting and business planning processes
- Develop integrated financial models (performance, cash flow, capital allocation)
- Perform scenario and sensitivity analyses to support strategic decisions
Performance Management & Reporting
- Own monthly reporting and management pack preparation
- Conduct variance analysis, KPI monitoring, and risk identification
- Translate financial data into actionable insights and recommendations
- Support reporting to the Board, investors, and senior management
Strategic Initiatives & Transactions
- Support refinancing, M&A;, and capital allocation initiatives
- Build financial models for investment and financing transactions
- Coordinate external advisors (financial, legal, tax, technical)
- Support due diligence and cross-functional execution
- Ensure consistency of assumptions across planning and transactions
Stakeholder Management
- Interact directly with Managing Director, CFO, Board, and senior leadership
- Collaborate with Finance, Investment, Treasury, and Asset Management teams
Ownership & Growth
- High-autonomy individual contributor role
- Strong strategic exposure with potential for future growth
- Strengthen cash flow forecasting and liquidity planning across portfolio and corporate level
- Drive automation and standardisation of reporting tools and workflows
- Collaborate with BI/IT to improve data architecture and financial systems
- Provide senior management with clear insights on performance drivers, risks, and opportunities
Competenze ed esperienza
- 6-8 years of experience in FP&A;, corporate finance, strategic finance, or transaction-related roles
- Strong background in budgeting, forecasting, financial modelling, and performance analysis
- Experience in capital-intensive sectors (e.g., energy, infrastructure, utilities, industrials) or private equity-backed environments. xysqume
- Exposure to M&A; transactions, portfolio investments, or strategic projects
- Experience in renewable energy or infrastructure investin
- Advanced financial modelling and Excel skills
- Strong analytical mindset with high attention to detail and structured thinking
- Ability to build financial models, data structures, and analytical tools from scratch
- Strong organisational skills and ability to manage multiple priorities
- Excellent communication skills and ability to engage with senior stakeholders.
Completa l'offerta
Contract: Full‑time, permanent Compensation: 55. EUR. Location: Roma - hybrid working model available
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