Salva Back to Search Offerta Riepilogo Opportunità di carriera Pubblicato il 18/06/2026Interessante opportunità professionale settore investimenti energeticiSede RomaAzienda 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.OffertaThis 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 & ForecastingLead group-wide budgeting and business planning processesDevelop integrated financial models (performance, cash flow, capital allocation)Perform scenario and sensitivity analyses to support strategic decisionsPerformance Management & ReportingOwn monthly reporting and management pack preparationConduct variance analysis, KPI monitoring, and risk identificationTranslate financial data into actionable insights and recommendationsSupport reporting to the Board, investors, and senior managementStrategic Initiatives & TransactionsSupport refinancing, M&A, and capital allocation initiativesBuild financial models for investment and financing transactionsCoordinate external advisors (financial, legal, tax, technical)Support due diligence and cross-functional executionEnsure consistency of assumptions across planning and transactionsStakeholder ManagementInteract directly with Managing Director, CFO, Board, and senior leadershipCollaborate with Finance, Investment, Treasury, and Asset Management teamsOwnership & GrowthHigh-autonomy individual contributor roleStrong strategic exposure with potential for future growthCash Flow & Liquidity PlanningStrengthen cash flow forecasting and liquidity planning across portfolio and corporate levelMonitor debt service capacity and financial flexibility with treasury and finance teamsProcess Improvement & SystemsEnhance FP&A processes, forecasting methodologies, and KPI frameworksDrive automation and standardisation of reporting tools and workflowsCollaborate with BI/IT to improve data architecture and financial systemsBusiness PartneringChallenge assumptions to support better decision-makingProvide senior management with clear insights on performance drivers, risks, and opportunitiesCompetenze ed esperienza6-8 years of experience in FP&A, corporate finance, strategic finance, or transaction-related rolesStrong background in budgeting, forecasting, financial modelling, and performance analysisExperience in capital-intensive sectors (e.g., energy, infrastructure, utilities, industrials) or private equity-backed environments.Exposure to M&A transactions, portfolio investments, or strategic projectsExperience in renewable energy or infrastructure investinAdvanced financial modelling and Excel skillsStrong analytical mindset with high attention to detail and structured thinkingAbility to build financial models, data structures, and analytical tools from scratchStrong organisational skills and ability to manage multiple prioritiesExcellent communication skills and ability to engage with senior stakeholders.Completa l'offertaContract: Full-time, permanent (CCNL Commercio)Compensation: €55,000 - €60,000 per year+ bonusLocation: Rome+ hybrid working model availableJob refJN-062026-7043597RiepilogoSettoreFinance & AccountingCategoriaControllo di GestioneCategoriaFinancial ServicesLuogo di lavoroRomaTempoIndeterminatoNumero dell´offertaJN-062026-7043597FlessibilitàSmart Working/Ibrido