You will provide hands‑on financial support and analysis to a portfolio of renewable energy assets, namely hydro and wind. Client Details Our client is a large, globally active investment manager with a strong ESG focus. In Australia, they manage a significant portfolio of renewable energy and infrastructure assets and provide full end‑to‑end fund and asset management services Description Prepare accurate monthly management accounts for assigned renewable energy assets, covering revenue, OPEX and CAPEX. Produce high‑quality financial outputs for consolidated reporting, board submissions and internal performance reviews. Partner with Operations to analyse actuals vs budget/forecast and provide meaningful variance insights. Process and manipulate large operational and market data sets, continuously improving reporting processes. Support settlements, reconciliations and reporting requirements. Manage transactional activity for asset SPVs, including purchase orders, contractor payments and O&M invoices. Assist with annual budgeting inputs and collaborate with Asset Management, Investments and Legal to resolve financial queries. Support statutory reporting and audits, and contribute to financial control and process improvement initiatives. Profile Tertiary degree in Accounting, Finance or Similar CA/CPA qualified Big 4/Mid Tier experience a bonus but not requisite Industry experience is advantageous A genuine interest in the infrastructure/asset management space An ability to communicate strongly and influence decision making Job Offer $110,000 - $125,000 Super 3/2 Hybrid Split Genuinely supportive team and exceptional senior leadership team Accessible CBD location Strong work life balance An opportunity to complete genuinely meaningful work beyond crunching the numbers! To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact William Harris on 0466 534 114.