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Financial Asset Manager & Controller
PARIS
Greensolver is an independent technical service company focused on the wind and solar markets in Europe. From construction to operation, our mission is to maximize the return on investment for our customers through the quality of our services and our knowledge of investors' expectations.
Independent since 2013 following an MBO, Greensolver is ramping up its development through an organic growth (new clients) and external growth strategy (acquisition and partnerships). Greensolver has been recently acquired by Voltalia group and it is managed as an independent entity.
We are market leaders in three fields:
• Operations – We perform Technical supervision and production optimization of wind and solar assets, as well as their administrative monitoring, financial and business. We perform this for financial investors across 5 countries currently
• Construction: We provide construction project management, owner’s engineer and lender’s engineer services
• Advisory: We perform for banks, investors and developers various advisory services, technical due diligence, procurement advice, yield assessments…
POSITION SUMMARY:
The function of the Asset Manager & Controller is twofold:
1. Asset Manager - Customer Delivery: Perform all financial aspects required from the assigned customer portfolio (cash flow forecasts, ratio calculations, interface with lenders, quarterly portfolio reporting and analysis…); perform valuation services
2. Controller - Internal support: Perform financial analysis of Greensolver’s business; deliver monthly reporting pack; deliver long term forecasts.
You must be able to communicate effectively, have superior time management skills, be able to work under tight deadlines. Most importantly, you must be a problem-solver who is very detail-oriented and able to work independently, as well as in a team environment.
The role is based in our Paris office
ESSENTIAL JOB FUNCTIONS:
Customer Delivery
• Monthly, quarterly and/or annual reporting of the portfolio
• Prepares and maintains financial models for the operating assets
• Performs ratio calculations of assets
• Assist in the preparation of SPV operating budgets and cash Flow
• Tracks and delivers covenants as required
• Interfaces with Customers and Lenders on the above matters
Internal support
• Budget: preparation of the budgets of Greensolver Group per country
• Reporting: Monthly financial and operational data
• Performs Long term forecasting & reforecasts
• Follow-up of the invoicing of the company Greensolver
• Financial analysis, market studies and industry standard reporting (i.e. variance reporting, discounted cash flows, IRR’s, etc.)
• Performs and supervises other projects and tasks as assigned.
Job requirements
• Two to five years of proven experience in asset management.
• Ability to work with financial concepts and perform financial analysis including ROI, IRR and discounted cash flow modeling
• Proficient with corporate productivity (Office...) and web presentation tools
• Excellent verbal and written communications skills in French and English language. Spanish and/or German are a plus.
• Strong listening and presentation skills
• Ability to multi-task, prioritize, and manage time effectively
• BA or BS Degree in Business Administration or Finance.
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