TGRC are working with a leading independent international fund management group, specialising in the alternative asset sector. The group has 2 areas they focus on: Clean Energy Infrastructure and Mid-Market Private Equity. With four funds raised across three countries and €350mn AUM, they are now ready to continue that growth. As part of this, they are looking for a Financial Controller to oversee the portfolio companies and act as a bridge between the Investment and Finance teams.
This suits someone with 5-10 years experience in Finance.
**Please submit CVs in English**
Drafting monthly forecast, annual budget and long term strategic plans – improve and optimise the value of the assets, the production of accurate reports and forecasts, and controlling processes
Preparation of monthly, quarterly and yearly management accounts, forecast and budget, including cash monitoring at SPV level.
Cash flow and cash management
Monitoring of cash flows, and economic and financial status of the group SPVs and holding companies;
Support in managing relationships with external auditors
Monthly monitoring of costs, revenues, margins, finance and operational KPIs, and preparation of analysis of differences among budget, forecast and business plan;
5+ years experience in a similar role
Renewable Energy/Investment Fund experience is desirable
Italian and English fluency is essential
Please apply directly or email firstname.lastname@example.org if the role is of interest.