Financial Planning, Performance & Analysis (FP&A) Manager Renewable Energy Sector 📍 Location: Central Belt, Scotland (Hybrid - 50% Office Based) 📅 Start Date: ASAP 📄 Contract: 4 Months (Potential Extension) ⏰ Hours: 40 Hours per Week (Monday-Friday) 💰 Up to £350 Daily Rate Inside IR35 via Umbrella ✅ Full UK Working Rights Required About the Role We are seeking an experienced Financial Planning, Performance & Analysis (FP&A) Manager to support a leading renewable energy business. This role will focus on financial planning, forecasting, cashflow management, performance reporting, and business partnering across a large and complex portfolio of capital projects. The successful candidate will work closely with finance and operational stakeholders to provide financial insight, support strategic decision-making, and drive improvements across planning, reporting, and forecasting processes. Key Responsibilities Support the delivery of budgets, forecasts, and long-term financial plans. Lead cashflow, capital expenditure (CapEx), financing, and interest forecasting activities. Consolidate financial information and reporting across multiple business areas. Develop and maintain cashflow forecasting models. Deliver performance analysis, variance reporting, and financial insights to senior stakeholders. Support Group Finance reporting and governance requirements. Analyse project cashflows, financing requirements, investment performance, and joint venture activities. Partner with Commercial Finance and operational teams to understand risks, opportunities, and key business drivers. Prepare management reporting packs and presentations for leadership teams. Drive continuous improvement, standardisation, and automation of FP&A processes and reporting. Support enhancements to financial reporting tools, systems, and forecasting methodologies. Key Skills & Experience Proven experience in FP&A, Financial Management, Commercial Finance, Corporate Finance, or Business Planning. Strong experience in budgeting, forecasting, long-term planning, and performance reporting. Experience with cashflow forecasting, CapEx planning, financing activities, and interest reporting. Advanced Excel skills and experience developing and maintaining financial and cashflow models. Experience analysing project cashflows, investment performance, joint ventures, and equity funding requirements. Strong understanding of financial consolidation and reporting across multiple projects, business units, or portfolios. Experience supporting Group Finance reporting, governance forums, and senior stakeholder decision-making. Strong stakeholder management and business partnering skills. Proven experience driving process improvements, reporting standardisation, and automation initiatives. Experience working within renewable energy, utilities, infrastructure, construction, engineering, or other capital-intensive project environments. Interested? Apply today with your latest CV to be considered for this exciting FP&A Manager contract opportunity. Guidant, Carbon60, Lorien & SRG - The Vertage Group Portfolio are acting as an Employment Business in relation to this vacancy
Finance Manager in Glasgow employer: Carbon 60
Join a leading defence organisation that prioritises innovation and employee development in the Cyber Security field. With a hybrid work model, you will benefit from a collaborative culture that encourages continuous learning and growth, while working on cutting-edge technologies that protect national security. This role offers a unique opportunity to contribute to meaningful projects in a supportive environment, making it an excellent choice for those seeking a rewarding career in Cyber Security.