
CFO
Entoria Energy
full-time
Posted on:
Location Type: Hybrid
Location: Singapore • Singapore
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About the role
- Lead the development of financial strategies that align with the company’s growth objectives, especially in a high-growth renewable energy sector.
- Oversee budgeting, forecasting, and long-term financial planning, providing insights to support executive decisions.
- Monitor financial performance and provide analytical insights on market trends, project contracts, and revenue-generating opportunities to maximize risk adjusted returns.
- Ensure accurate and timely financial reporting that meets regulatory standards across Latin American markets.
- Audit supervision.
- Optimize cash flow, working capital, and capital structure to support project funding and operations.
- Present detailed financial reports to stakeholders, including the Board, investors, and lenders, and develop presentations to communicate financial performance.
- Ensure compliance with lenders’ financial covenants across all markets.
- Oversee cash management activities, including liquidity forecasting and cash flow analysis tailored to C&I.
- Manage relationships with banks to optimize cash management and operational needs.
- Monitor and manage debt levels, interest rates, and capital structure, ensuring financial stability and risk mitigation.
- Develop capital-raising strategies and manage relationships with debt investors, banks, and financial institutions to secure project financing.
- Develop risk mitigation strategies, particularly around currency risk, interest rate risk, contract risk (PPA terms), and regulatory compliance.
- Oversee the development of financial controls and policies to safeguard company assets and maintain audit readiness.
- Collaborate with project development and operations teams to manage the financial aspects of Power Purchase Agreements (PPAs), ensuring profitable contract structuring.
Requirements
- 10+ years of experience in financial leadership roles, ideally with a background in renewable energy, infrastructure, or a similar asset-heavy industry.
- Proven experience in project finance and financial structuring is a plus.
- Proficiency in financial modelling and forecasting techniques, particularly for energy projects.
- Experience with working in ERP system (Dynamics, business central, netsuite, SAP, …) or advanced cloud accounting.
- Spoken and written fluency in English.
- Strong communication and interpersonal skills; including the ability to present technical financial information in a clear and concise manner.
- International exposure (countries and systems) appreciated.
- Excellent organisational and problem-solving skills, and ability to meet regular deadlines.
- Report writing skills and ability to produce concise and clear documents for internal and external purposes.
- Strong attention to detail.
- Able to demonstrate initiative and judgement in carrying out day-to-day tasks.
Benefits
- Health insurance
- Professional development opportunities
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
financial strategiesbudgetingforecastingfinancial planningfinancial reportingcash flow analysisfinancial modellingproject financefinancial structuringrisk mitigation
Soft Skills
communication skillsinterpersonal skillsorganizational skillsproblem-solving skillsattention to detailinitiativejudgementreport writing skillspresentation skillsanalytical skills