SlipstreamJobsFresh Startup & VC-Backed Jobs

Group Strategic Finance Analyst

Octopus Energy - London, United Kingdom - In-office - posted 2026-10-02

Apply on the company site

SlipstreamJobs tracks this role from the company's public career site. Apply directly on the employer's site.

Octopus Energy is a clean energy company with a global presence, committed to sustainability and transparent pricing. The company operates with flat hierarchies and an agile, innovative culture. You will join the Strategic Finance team to support the company's exponential growth across the UK and internationally. This role offers exposure to complex financial modeling, capital structure management, board and investor engagement, and financial reporting. Key Responsibilities: - Lead development and maintenance of near-term and long-term financial models across the Group, consolidating entity-level models from four business units, 20+ entities, and 10+ active country presences into Group-level outputs - Coordinate annual budget preparation across the strategic finance team and broader entity finance throughout the Group - Support the CFO in identifying and managing economic trade-offs (growth, returns, liquidity) through capital allocation processes, including evaluating new business lines and investments - Provide monthly financial outlooks and support month-end reporting and analysis with strategic overlay; assist CFO with investor relations Q&A preparation - Curate, summarize, and communicate monthly financial and strategic material for the Group, including ad hoc investor relations requests and quarterly board content - Support debt and equity funding projects affecting capital structure and financial risk, including information memorandum preparation and due diligence; prepare financial reports and assist in lender Q&A - Manage monthly and ad hoc Group guarantees, letter of credit issuance, and capital allocation processes to subsidiaries Requirements: - 2+ years of experience in financial planning and analysis (FP&A) and/or corporate finance, including building and maintaining financial models - Strong 3-statement financial modeling skills (P&L, Balance Sheet, Cash Flow interconnections) and advanced Excel proficiency - Familiarity with financial reporting and month-end processes (accounting degree not required) - Strong analytical skills with ability to manage and interpret complex data - Experience or exposure to board and investor reporting and financial presentations - Ability to summarize and present financial and strategic information effectively to senior internal and external stakeholders - Knowledge of capital structure and fundraising processes is a plus - Ability to work effectively in a fast-paced, dynamic environment

Similar roles