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Management Accountant

External
nextenergygroup logoNextenergygroup · Madrid, Spain
Full-timeOn-site5d ago
BudgetingComplianceDocumentationExcelFinancial AnalysisForecasting
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About the role

Wise Energy is looking for a Management Accountant professional with experience in renewable energy asset management. Supporting large-scale solar portfolios across international jurisdictions, with a focus on Chilean assets, I oversee finance operations, ensuring accuracy, compliance, and efficiency across both outsourced accounting and tax functions as well as in-house processes. Working closely with senior finance leadership in Madrid, I collaborate across teams and with external partners to maintain high-quality financial reporting and operational performance. We are looking for a professional that could bring a strong attention to detail combined with a collaborative and people-focused approach, thriving in environments where teamwork and relationship-building are key. Comfortable operating in a hybrid and international setting, proactively identify and resolve issues, contribute to continuous improvement, and ensure the delivery of consistent.

Responsibilities

  • Management Accounting & Reporting
  • Prepare and review monthly, quarterly, and annual management accounts for SPVs and group entities.
  • Produce financial reporting packs, dashboards, and commentary, including variance analysis against budgets and forecasts.
  • Ensure accuracy, consistency, and compliance with accounting standards and group policies.
  • Deliver financial information to internal stakeholders, lenders, and investors within agreed deadlines.
  • Budgeting, Forecasting & Analysis
  • Support the preparation of annual budgets and periodic reforecasts across assigned entities.
  • Provide financial analysis and insights to support planning, performance monitoring, and decision-making.
  • Treasury & Cash Flow
  • Support cash flow forecasting, including liquidity and working capital monitoring.
  • Perform cash reconciliations and investigate variances or discrepancies.
  • Assist with cash distribution calculations, covenant monitoring, and treasury reporting.
  • Tax & Compliance
  • Oversee local tax compliance in coordination with external advisors, ensuring timely filings and payments.
  • Review tax calculations, returns, and supporting documentation as required.
  • Maintain compliance trackers and ensure adherence to local regulatory requirements.
  • Audit & Statutory Support
  • Prepare audit deliverables and supporting documentation for statutory audits.
  • Coordinate auditor queries and liaise with external auditors and advisors.
  • Support the preparation of statutory financial statements under applicable accounting standards.
  • Asset Onboarding & Change Support
  • Support onboarding and offboarding of assets, ensuring finance systems, reporting structures, and controls are properly implemented.
  • Review onboarding documentation and validate completeness of financial information.
  • Contribute to transactions such as refinancing, restructuring, or M&A processes where relevant.
  • Processes, Systems & Controls
  • Maintain and improve finance SOPs, controls, and documentation.
  • Support implementation and improvement of finance systems (ERP, payments, reporting tools).
  • Ensure documentation is properly stored and maintained in shared systems.
  • Collaboration & Stakeholder Management
  • Collaborate closely with Finance, Commercial, Technical teams, and external service providers.
  • Manage relationships with auditors, tax advisors, and local accountants.
  • Ensure smooth coordination across internal and outsourced functions.
  • Ad-hoc & Continuous Improvement
  • Proactively identify opportunities for process optimisation, automation, and reporting enhancements.
  • Support ad-hoc tasks and projects in line with business needs in a dynamic and evolving environment.
  • SKILLS & COMPETENCIES
  • To be successful in this role, you will demonstrate:
  • Time management & prioritization skills - things can get a little hectic, so the ability to effectively manage yourself and your workload is critical
  • Flexibility - being an effective team player means being flexible in your approach and open to getting involved with new things, even if they are not spelled out in your job description
  • Intellectual Curiosity - Finance is a broad and nuanced field, and we are looking for someone who is truly interested in our profession and has the intellectual curiosity to delve deep into topics and bring fresh ideas into the team
  • IT Literacy - you need to be comfortable with IT systems and working with data (you should have at least intermediate-level excel)
  • Delivery focus - it may sound obvious, but the ability to proactively churn through work at pace and deliver quality

Benefits

Flexible schedule

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