
Financial Services · 4.6k people
Greencoat Finance Asset Manager
What’s this role about? The Finance Asset Manager will oversee financial reporting, governance, and controls across a portfolio of renewable energy investments and SPVs. They will manage relationships with external service providers, auditors, and lenders to ensure high-quality financial deliverables.
Find hiring manager
Reach the person hiringEmail the person behind the job, not the inbox.
Customize my resume
Job specific tailored resumeGet a perfectly tailored, professional resume that passes ATS and highlights your strengths in just 6 seconds.
Skills required for this role
Tap the ones you have
Responsibilities
- Oversee financial reporting across a portfolio of SPVs and investment structures.
- Review and challenge reporting prepared by outsourced administrators and asset managers.
- Ensure timely delivery of management accounts, budgets, forecasts, statutory accounts and lender reporting.
- Maintain strong financial controls and governance standards across the portfolio.
- Build an understanding of the underlying assets, investment structures and commercial drivers.
- Act as a key contact for external administrators, asset managers, auditors and lenders.
- Manage service providers to ensure high-quality and timely deliverables.
- Support the resolution of accounting, reporting and governance matters.
- Build effective relationships across investment, asset management and fund finance teams.
- Support annual audits and statutory reporting processes.
- Coordinate with auditors, tax advisers and other professional service providers.
- Assist with tax, compliance and regulatory reporting requirements.
- Support board and governance processes across portfolio companies.
- Identify opportunities to improve reporting, controls and data quality.
- Support automation and efficiency initiatives across the finance function.
- Contribute to the development of scalable processes as the business grows.
Qualification
Required
- We are seeking a Finance Asset Manager to provide financial oversight across a portfolio of renewable energy investments and SPVs.
- Working closely with outsourced service providers, auditors, lenders and internal stakeholders, you will be responsible for ensuring high-quality financial reporting, strong governance and effective financial controls across a complex portfolio of assets.
- This role offers broad exposure to renewable infrastructure investing, fund structures and asset management, making it an excellent opportunity for a qualified accountant looking to develop their career within a growing sector.
- Qualified accountant (ACA, ACCA, CIMA or equivalent).
- Approximately 2-4 years' post-qualified experience within asset management, infrastructure, renewable energy, audit or a related environment.
- Strong understanding of financial reporting and accounting principles.
- Experience working with, or reviewing the output of, complex legal entity structures and SPVs.
- Strong analytical and problem-solving skills.
- Experience working with multiple stakeholders and external service providers.
- Ability to manage competing priorities across a diverse portfolio of assets.
- Strong communication and interpersonal skills.
- High level of attention to detail and commitment to quality.
- Proactive approach to identifying issues and driving solutions.
- Advanced Excel skills.
Preferred
- Renewable energy, infrastructure or real assets experience.
- Experience of outsourced administration models.
- Exposure to debt financing structures and lender reporting.
- Exposure to acquisitions, disposals or restructuring transactions.
- Knowledge of Power BI, data analytics or automation tools.
- Experience working with large, multi-entity investment structures.
Company
Schroders
A global investment manager, partnering with institutions, intermediaries and individuals to create prosperity together.

Schroders is a global investment manager, partnering with institutions, intermediaries and individuals to create prosperity together. For more than 200 years, we have helped clients to see things differently, navigating complexity in changing markets. Today, we manage £823.7 billion* on behalf of clients across public and private markets, operating across six continents with local expertise supported by global scale. Active management is central to how we invest, engage and steward capital. Over one, three and five years, 70% or more* of our clients’ assets have outperformed their stated comparators. Sustainability is embedded in our investment approach, supported by proprietary tools and active ownership. Our current portfolio temperature score for in scope assets is 2.4°C*, and we aim to achieve 2.2°C by 2030. Our talented team of more than 5,700* people worldwide are fundamental to our active philosophy. Their capabilities and expertise are enhanced by proprietary technology and data. We prioritise excellence and diversity of thought in pursuit of high performance and client success. By combining global reach with trusted advice, we aim to deliver resilient outcomes for clients, shareholders and society. *Source: Schroders, all data as at 31 December 2025. Disclaimer: Investing in securities is subject to risk. The value of investments can go down as well as up and is not guaranteed. Schroders will not make direct contact with you, via any social media platform or direct messaging service, to sell our products. If you think you have been a victim of a scam or have received unsolicited contact using the Schroders name or any associated names, and have any concerns, then please contact our Financial Crime Team using the details below: Telephone: +44(0)20 7658 4004 Email: reportscams@schroders.com
Offices
- 1 London Wall Place, London, Greater London EC2Y 5AU, GB
- 7 Bryant Park, New York, New York 10018-3706, US
- 138 Market St, Singapore, Singapore, SG
- Level 17, 39 Martin place, Sydney NSW 2000, Australia, Sydney NSW, AU
- +3 more