The role is situated within the Fund Management team responsible for managing both Investment Funds.

Duties will include:

  • Update and reconcile total Fund Cash and Liquidity requirements.
  • Daily Liquidity update to Senior Management.
  • Weekly Liquidity meeting with wider Investment Management team.
  • Investment cost reconciliation and Investment Deal Analysis.
  • Preparation of Fund Quarterly Factsheet.
  • Assist with the preparation of the Fund Interim and Annual reports.
  • Production of Fund Board Operating Update.
  • Analysis of Debt and Interest Charges.
  • Audit of Fund Model.

Candidate Requirements:

  • Good Educational Background (1st from a top 10-15 University)
  • Maths, Finance or Accounting Degree
  • Good Excel with Modelling.
  • 1 year of experience post University within Finance/ Accounting
  • Highly motivated and proactive individual interested in Investment Funds, Renewable Energy and keen to work in a small business environment.
  • Excellent Communicator capable of discussing issues and risks.
  • Excellent attention to detail and ability to raise and discuss areas of risk and concern.

Core Skills

  • Excel with Modelling Skills
  • PowerPoint & Word ( Ability to prepare presentations and other corporate documents)
  • Excellent Communication Skills
  • Excellent organisation and timetable management skills.

Package:

  • Financial Analyst
  • 6 month contract converting to permanent.
  • Job and Career Training
  • Broad finance role with finance and commercial exposure