.WiseEnergy is a trusted and established solar asset manager, offering all the services clients require to manage and optimise large-scale solar plants, from development and construction through to long-term operational asset management. We have an exciting opportunity for an experienced, passionate finance professional to support the delivery of finance asset management services to one of our most important clients in multiple international jurisdictions. We are looking for someone who genuinely cares about the people they work with, naturally seeks to collaborate and enjoys the buzz of good camaraderie. Although, as with all finance roles, you will need to have exceptional attention to detail, this role is not suitable for someone wanting to lock themselves away - you will need the right balance of introversion and extroversion to be comfortable in this role. In other words, you will be a key member of the team who can build and maintain good working relationships with internal and external stakeholders. The role will be expected to be part of the team involved in setting up the finance function in Spain where you will have full responsibility and ownership of the finance operations for our assets in Spain. You will also be expected to manage the finance operations for other regions as required either as a lead or supporting role. For most of our assets in multiple regions, the current model is to oversee deliverables from outsourced service providers. As scale increases, the model is set to evolve with some of the regions setting up offices locally. This role is then expected to support the provision of financial services out of those markets. We have recently set up an office in Madrid, Spain and we have a hybrid working model. The practicality of the arrangement is to be discussed and agreed with your line manager and will be reviewed on a periodic basis. There is an expectation of consistency and accuracy of outputs, as well as delivering and maintaining a high degree of customer service (internal and external). In view of this, you will be expected to appropriately flag issues and support their resolution through to the end and proactively drive continuous improvement. Responsibilities Accounting: Establishing and enforcing proper accounting methods, policies and principles Prepare and analyze financial statements Manage the postings of all daily transaction accounting and period end entries Reconcile all balance sheet items Treasury management Prepare and file necessary taxes Manage balance sheets and profit/loss statements Ownership of entities on Netsuite accounting system Work with external auditors to ensure correct and timely year-end audit. Reporting: Prepare periodic (monthly, quarterly, annual and ad hoc) financial reporting for SPVs and Holding companies. Prepare deliverables as required by lenders and investors Adhere to deadlines set by all stakeholders ensuring deliverables are delivered on a timely basis