应付账款及资金管理经理,资产管理财务,北欧
RES
公司概况
他们的业务
RES专注于多种可再生能源技术,包括风能(陆上和海上)、太阳能光伏(PV)、电池储能系统(BESS)和绿色氢气解决方案。该公司提供涵盖可再生能源项目整个生命周期的综合服务,从初步开发和工程设计到建设、运营和维护(O&M)、资产管理和融资。他们的专业知识使他们能够交付满足各类市场(包括公用事业、企业和政府)对可持续能源解决方案日益增长需求的公用事业规模项目(来源: res-group.com)。
项目与业绩
RES拥有令人印象深刻的已完成项目组合,包括2001年完成的278MW德克萨斯州金山风电场,当时是全球最大的风电场。其他显著项目包括英国的90MW内道辛海上风电场和270MW林克斯海上风电场,这些项目都为RES在可再生能源领域的领导地位做出了贡献。该公司还开发了重要的太阳能项目,例如德克萨斯州的30MW韦伯维尔太阳能公园,展示了其在可再生能源解决方案方面的多样性(来源: res-group.com)。
近期发展
近年来,RES在扩展其项目组合和能力方面取得了显著进展。在2024年,该公司获得了土耳其70MW埃尔马奇克风电厂的发电许可证,并推进了澳大利亚昆士兰州塔龙西风电场的开发批准,该项目预计将为约230,000个家庭提供电力。此外,RES还与Octopus Energy合作,在英国进行30亿英镑的绿色氢气投资,进一步巩固了其对创新可再生能源解决方案的承诺(来源: keyfactsenergy.com)。
在这里工作
RES在多个部门提供多种职位,包括开发、工程、建设、运营和维护、资产管理、财务和法律服务。该公司强调协作文化,致力于多样性和包容性,为员工提供一个充满活力的工作环境。位于英国金斯兰利的全球总部设有现代化设施,旨在支持员工的福祉,如自行车架和淋浴设施,促进健康的工作与生活平衡(来源: res-group.com)。
最后更新于 2月 23, 2026 | 报告问题
Job Description
We're the world's largest independent renewable energy company. We're guided by a simple yet powerful vision: to create a future where everyone has access to affordable, zero carbon energy.
We know that achieving our ambitions would be impossible without our people. Because we're tackling some of the world's toughest problems, we need the very best people to help us. They're our most important asset so that's why we continually invest in them.
RES is a family with a diverse workforce, and we are dedicated to the personal professional growth of our people, no matter what stage of their career they're at. We can promise you rewarding work which makes a real impact, the chance to learn from inspiring colleagues from across a growing, global network and opportunities to grow personally and professionally.
Our competitive package offers a wide range of benefits and rewards.
The position
Reporting to: Finance Manager - Process Improvements, Finance Asset Management dotted line to Client Finance Managers
Location: Kings Langley office. Responsible for AP and treasury operations for assigned client portfolio.
Team managed: 3-5 AP & Treasury professionals. Scope to expand to 7-8 based on portfolio complexity and business growth.
The AP & Treasury Manager is responsible for leading the AP and treasury function for an assigned portfolio of renewable energy asset management clients within the FAM Northern Europe team. The role carries full end-to-end accountability for accounts payable, banking and treasury operations, IFS power-user support, and team management.
Dual-cover capability is a core requirement. The individual will develop working knowledge of the other AP & Treasury Manager's portfolio, clients, and banking relationships within a reasonable timeframe.
Please note that this role is being offered on a 18-month fixed term contract basis.
Organisational context
The FAM Northern Europe team acts as an outsourced finance business partner, delivering financial support services under Management Service Agreements (MSAs) to clients owning renewable energy assets across onshore wind, solar, storage and hydro. The department currently manages over 200 legal entities across 17 clients and three regions (UK & Ireland, Nordics and Germany).
The team's scope includes:
- Purchase Ledger: >22,500 invoices per annum
- Banking: 300 bank accounts
- Treasury: cash processing, banking platform management and bank mandate administration
- IFS super-user support
- Business user support for Accounts Payable transactions
- Month end, quarter end and year end processing to agreed deadlines
Key accountabilities
Team Leadership & Management
- Lead, manage and develop a team of AP & Treasury professionals, setting clear expectations and supporting professional growth
- Allocate and monitor clerk workload to ensure even distribution and timely delivery across all assigned clients
- Act as first escalation point for all AP and treasury issues within the portfolio
- Conduct regular one-to-ones and performance conversations with direct reports
- Support the onboarding and training of new team members within the portfolio
- Maintain a regular contact with Client Leads and other AP & Treasury Manager.
- Support and cover the wider FAM NE team as required, including providing substantive cover for the other AP & Treasury Manager during absences or peak periods
- Manage team absence and absence records and pull together cover plans to ensure smooth running of portfolio
Accounts Payable
- Own the end-to-end AP process for all assigned clients, from invoice receipt through to payment and reconciliation
- Ensure all supplier invoices are processed accurately, correctly coded and posted on time (both PO and non-PO)
- Manage payment proposals and oversee payment run processes, ensuring dual-control requirements are met at every stage
- Act as primary escalation for supplier queries, approval workflow delays and invoice disputes
- Oversee the processing of urgent and manual payments, ensuring appropriate approvals and documentation are in place
- Maintain supplier master data integrity; Ensure AP team are independently verifying any supplier bank detail changes before they are applied
- Support month-end, quarter-end and year-end close to agreed deadlines
- Spot-check invoice coding quality regularly and provide feedback to clerks
- Built in and agree robust Payment runs cycles and agree and communicate actively with the clients and business to minimise the urgent payment runs.
- Regularly review the POAs and creditors ledger ensuring creditors balances are kept clean and up to date.
- Manage out of system payments such as distributions, loan repayments & VAT payments
- Carry out bank approval of intercompany transfers.
Treasury & Banking
- Own the treasury matrix and bank mandate register for all cluster clients, ensuring it is accurate and reviewed monthly
- Act as primary contact with banks for mandate changes, signatory updates and approval limit amendments.
- Effectively implement and manage the bank access for every client account so there are appropriate number of individuals for cover.
- Oversee bank uploads and payment approvals, ensuring dual-signatory controls are applied before any payment is released
- Oversee daily bank reconciliations across all cluster entities; resolve discrepancies promptly and escalate aged items
- Oversee cash postings across all cluster bank accounts
- Conduct and document quarterly bank access reviews, confirming all access rights are current and appropriate
- Maintain the letter tracker for all bank correspondence and ensure follow-ups are completed
IFS & Systems Administration
- Act as a power user within the IFS system, supporting team members on system operations, troubleshooting and process optimisation
- Collaborate with the IFS team on testing, training, and system improvements; escalate complex system issues for resolution
- Contribute to continuous improvement initiatives within the team and across the wider department.
Client & Stakeholder Management
- Act as primary client contact for AP and treasury matters across all assigned clients
- Build and maintain strong, trust-based client relationships; attend client calls and reviews as required
- Communicate proactively on issues, process changes and service updates
- Manage multiple client priorities simultaneously without compromising quality or timelines
- Represent the FAM NE team professionally at all levels of seniority, internally and externally
Controls & Compliance
- Ensure all AP and treasury controls always operate effectively within the portfolio
- Maintain up-to-date process documentation for every assigned client - one standardised framework with client-specific appendices
- Enforce fraud prevention controls, particularly around supplier bank detail changes and payment authorisation
- Support internal and external audit requests; ensure the cluster is always audit-ready
- Identify and escalate control weaknesses to the Head of FAM NE
Knowledge & Skills
- Strong working knowledge of accounts payable, purchase ledger and treasury operations
- Hands-on experience with banking platforms, mandate management and payment authorisation frameworks
- Proficient in IFS or equivalent ERP system with exposure to contributing to system improvements.
- Confident navigating multi-entity environments
- Experience managing high-volume AP portfolios, ideally 50+ entities
- Ability to lead and develop a small finance team, allocating work effectively and maintaining quality standards
- Excellent attention to detail with a track record of delivering accurate, timely work under pressure
- Strong client relationship skills - confident communicating at all levels of seniority, including with external clients and banks
- Ability to manage competing priorities across a complex, multi-entity portfolio
- Proactive approach to identifying and resolving problems; comfortable escalating when necessary
- Comfortable working with large data sets
Experience & Qualifications
- Significant experience in a transactional finance role, ideally within asset management, financial services or an outsourced finance environment
- Proven experience managing or supervising a small finance team
- Demonstrated experience with treasury and banking operations, including bank mandate administration
- IFS (or equivalent ERP) system knowledge with a solid understanding of system controls and access management
- Experience managing a high-volume, multi-entity AP portfolio (50+ entities desirable)
- Recognised accountancy qualification (e.g. AAT, part-qualified ACCA/CIMA or equivalent)
At RES we celebrate difference as we know it makes our company a great place to work. Encouraging applicants with different backgrounds, ideas and points of view, we create teams who work together to solve complex problems and design practical solutions for our clients. Our multiple perspectives come from many sources including the diverse ethnicity, culture, gender, nationality, age, sex, sexual orientation, gender identity and expression, disability, marital status, parental status, education, social background and life experience of our people.
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立即申请
职位已过期?请告知 RES 您是在 Rejobs 上找到这份工作的。这有助于我们发展,并让更多人进入可再生能源行业。
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职位详情
2026年8月19日
2026年8月19日
合同职位
现场
公司
- 英国金斯兰利
Significant experience in a transactional finance role, ideally within asset management or financial services.
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