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FP&A Manager

Executive Integrity

London

On-site

GBP 80,000 - 100,000

Full time

18 days ago

Job summary

A leading international energy storage company based in London is seeking a Senior Finance Manager to lead cash flow forecasting, manage liquidity, and drive improvements in financial controls. This role requires strong qualifications such as a finance degree, professional certification, and extensive experience in FP&A or treasury. The successful candidate will enjoy a vibrant culture and the chance to work autonomously within a high-talent team.

Benefits

Impactful work in energy transition
Strong team culture
Global group backing
Autonomy and ownership

Qualifications

  • 8-10 years' experience in FP&A, treasury or debt financing.
  • Proven track record of building financial models and managing liquidity.
  • Confidence in engaging senior stakeholders and operating independently.

Responsibilities

  • Lead detailed cash flow forecasting, budgeting, and variance analysis.
  • Build and evolve financial and liquidity models to guide investment decisions.
  • Prepare and present financial reports to senior leadership.

Skills

Financial modeling
Analytical ability
Communication with senior stakeholders
Advanced Excel skills
Attention to detail

Education

Degree in Finance, Accounting or related field
Professional qualification (CFA, MBA, ACA or ACCA)

Tools

Treasury software
Job description

Job title: Senior Finance Manager - Energy

Location: London

Who are we recruiting for?
A leading international energy storage owner-operator, backed by a major energy infrastructure group, with more than 2.5GWh of projects under construction and a multi-GW pipeline across Europe and Australia. This is a lean, entrepreneurial, and ambitious business at the centre of the global energy transition.

What will you be doing?
As Senior Finance Manager, you'll take on a unique and assured position, combining hands-on financial management with strategic influence. You will:

  • Lead detailed cash flow forecasting, budgeting, and variance analysis

  • Build and evolve financial and liquidity models to guide investment decisions

  • Manage cash, liquidity, FX and interest rate risk

  • Monitor and report on debt compliance

  • Drive improvements in financial controls, systems and processes

  • Prepare and present financial reports to senior leadership

  • Support debt financing, M&A initiatives and ad hoc projects

Are you the ideal candidate?
This is a strong opportunity for a motivated finance professional who brings:

  • Degree in Finance, Accounting or related field

  • Professional qualification (CFA, MBA, ACA or ACCA)

  • 8-10 years' experience in FP&A, treasury or debt financing

  • A proven track record of building financial models and managing liquidity

  • Advanced Excel skills and exposure to treasury software

  • Strong analytical ability and attention to detail

  • Confidence in engaging senior stakeholders and operating independently

  • Bonus: experience within renewable energy or high-growth companies

What's in it for you?

  • Join a fast-growing international player shaping the energy transition

  • Be part of a small, high-talent team where your impact is visible

  • Enjoy the security and scale of global group backing with capital and connections

  • A vibrant culture built on transparency, accountability, and results

  • Autonomy, ownership, and the chance to directly contribute to business growth

Who are we?
Executive Integrity is a global executive search and recruitment consultancy for a more sustainable world with a focus on talent within the Maritime and Renewable Energy sectors. We give a proportion of all our profits to Renewable World, a charity that develops affordable and innovative renewable energy solutions to poverty-stricken communities.

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