The company is an independent power producer (IPP) mainly engaged in developing, constructing, and operating solar photovoltaic power projects in Southern Europe (Spain, Italy, and Portugal).Finance Modeller
Finance and Administration
Spain (Spain)
Ref:
LB71226339 June 23, 2025 ENERGY, WATER AND GASFUNCTIONS
Job SummaryA leading renewable energy platform based in Madrid is looking for a Financial Modeller with strong transactional experience and a solid understanding of the renewable energy or infrastructure sectors. The ideal candidate will have prior experience working in a corporate or asset owner environment (client-side) and be able to contribute strategic insights beyond pure modelling. This role offers exposure to M&A (buy- and sell-side), project finance, and derivative valuations, focusing on transactions across Spain, Portugal, and Italy. The candidate will also be responsible for preparing and presenting quarterly valuations to the fund, requiring a high level of precision and adaptability to market dynamics.Key ResponsibilitiesBuild, manage, and optimize complex financial models for renewable energy transactions and portfolios, ensuring accuracy and flexibility.Develop and adapt models for M&A and financing processes, incorporating market conditions, power prices, derivative valuations, and commercial contract structures (PPAs, EPCs, O&M, etc.).Lead quarterly portfolio valuations for presentation to the fund, ensuring robustness and clarity across geographies.Evaluate hedging strategies and derivative instruments, focusing on market impact on value.Transaction Execution and Project FinanceSupport buy- and sell-side transaction execution, including valuation, due diligence, financial structuring, and investor presentations.Contribute to debt structuring and fundraising processes (Project Finance, HoldCo debt, mezzanine, etc.).Ensure financial models align with transaction documentation, covenants, and regulatory advice.Strategic Analysis and ReportingGenerate scenario analyses and sensitivities to support investment decisions and portfolio strategy.Provide insights into market trends and their financial implications to inform origination, divestment, and hedging decisions.Collaborate with the investment team to assess value creation opportunities.Cross-Functional CollaborationWork closely with asset management, legal, technical, and tax teams to ensure alignment.Maintain communication with fund managers and external advisors for consistency in assumptions and methodology.Requirements and Desired CompetenciesEducational Background:
Degree in Engineering, Economics, Mathematics, or related field;
MBA or CFA a plus.Experience:
Minimum 4 years in renewables/infrastructure, asset management, or investment fund;
background in investment banking, Big 4, or advisory valued, especially with client-side transaction exposure;
experience in multi-country transactions, especially Iberian and Italian markets.Technical Skills:
Expert financial modelling skills, experience with F1F9 models preferred, ability to work under pressure with high attention to detail, familiarity with valuation methodologies.
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