Company
| Headquarters | Milano, Italy |
| Website | https://sonnedix.com |
To apply, please submit a CV and Covering Letter explaining how your experience matches the requirements of our position and how your personal motivators and values align to Sonnedix purpose. Full details of the job. Work Location Santiago Location Country Chile Description At Sonnedix we believe in transforming the future by creating healthier environments through solar power generation for a brighter future - for ourselves, our colleagues, our partners, our communities and our planet. What drives us each day is our purpose, to harness the potential of clean solar generated energy to make a difference to our world and to protect our planet for future generations. We are a proven, scalable solar energy platform, with a track record in delivering high performance cost competitive solar photovoltaic (PV) plants to the market. We develop, build, own and operate solar power plants globally and our solar platform, when combined with our expertise, our ethos and our shared purpose, perfectly positions us to play a leading role in the renewable energy revolution that is underway. Our expertise and financial strength enable us to build trusted relationships with customers and partners and to expand the potential of solar in a smart way that benefits everyone. We believe in a world where the future of solar power is limitless and we are at the heart of driving solar as the sustainable energy source for our world For more information please visit www.sonnedix.com Profile As a Project Controller this role requires a flexible, hands-on accountancy professional. As a core member of the Groups’ Global finance team this is an opportunity to join a relatively young, dynamic company where you will have a chance to interact at all levels. Key Competencies Technical Qualified Accountant Excellent Excel skills Excellent technical and analytical financial management skills – attention to detail Excellent English and Spanish language Non-Technical Excellent presentation and communication skills. Able to articulate the numbers and the risks involved to the business – commercially orientated Results-driven attitude with rigorous accountability for achieving high levels of individual and company performance Ability to manage and prioritize own workload Good relationship builder- open and honest style Hard-working, committed and dedicated - energetic and highly focused Proactive self-starter and high-achiever who thrives on a challenge Key Accountabilities 1) Working capital management a. Liaise with external consultants to ensure electricity revenues are collected on time. b. Preparing monthly cash forecast analysis and compare budget vs. actual. c. Being the key relationship point for local banking providers d. Responsible for local compliance with Group financial control policies (eg approval matrix, bank authorities) 2) Coordinating local SPV, HoldCo and Service Co accounting with the outsourced accounting provider a. Ensuring monthly end process is completed accurately and in line with the Group’s monthly close timing b. Maintain a good relationship with the outsourced accounting provider for any interaction c. Ensuring statutory accounts are prepared and filed accurately and timely, in accordance with IFRS 3) Preparing monthly reports for operating SPVs and service Co’s a. Reporting actuals vs budget within Group month-end timetable b. Working with local asset management team to ensure control of the operation of the plants c. Where possible, look for opportunities to improve P&L performance d. Coordinating local SPV, HoldCo and Service Co accounting with the outsourced accounting provider 4) Prepare annual budget and reviews a. Prepare annual budget for each project and holding, in collaboration with representative of the different functions b. Simulate cash flows and forecasts c. Analyze variances Ensuring statutory accounts (incl. Consolidated) are prepared and filed accurately and timely 5) Model review and analysis a. Collaborate with SX team to keep updated the long term models b. Analyze variances LOAN COMPLIANCE 6) Loan compliance a. Being the owner of the Loan Compliance process, ensuring compliance as per the credit agreements b. Ensuring debt service payments are paid on time and accurately c. Work closely with local Financial Controller and Head of Tax to review and approve the most suitable investment structure d. Being the key relationship point for interaction with local lenders OTHER PROJECTS AND ACTIVITIES 7) Ad-hoc projects could include: M&A, debt refinancing, tax investigations. 8) Collaborate for local audit work for any local statutory audit requirements and Group audit review a. Coordinating & managing local audit timetable b. Managing year-end close process in line with Group’s timetable c. Preparing audit deliverables 9) Ensuring tax compliance for local SPV, HoldCo and Service Co with the outsourced tax providers a. Reviewing corporate income tax returns prepared by tax adviser and ensuring they are filed timely and accurately b. Ensuring VAT returns are filed timely and accurately c. Ensuring withholding tax, import duties, stamp taxes, etc (when applicable) are paid timely and accurately d. Ensuring all tax payments due are paid on time Leadership/Management Responsibility (Number of Direct reports/Geographic scope) Based in Santiago, Chile. No direct reports. Work Environment: Office based Physical Demands: N/A Position Type/Expected Hours: Full time position Travel – N/A Required Education and Experience Bachelor’s Degree in accounting/Finance. At least 5 years of post-graduate experience, ideally within the energy or utility industry. Audit/Big 4 experience within the relevant industry will be a plus. Experience in project loans management will be a plus Strong understanding of IFRS, Budgeting, Forecasting and Financial Analysis is essential. Keen to take ownership of tasks and responsibilities and ensure that work is completed in an accurate and timely manner and all financial and covenant requirements of lenders are complied with. Multinational experience and the ability to work both independently and collaboratively across diverse regions and cultures, including within virtual teams. Proactive self-starter, highly motivated, focused on working at a high level and producing an excellent work product under changing priorities and deadlines. Good relationship builder – open and honest style – excellent communication skills. Able to communicate effectively and deal comfortably with multiple projects/requests. Excellent English both written and verbal. Familiarity with Financial modelling would be a plus but not essential Additional Eligibility Requirements Work Authorization/Security Clearance AAP/EEO Statement The Company provides equal opportunities to all employees and applicants for employment, free from artificial considerations based on any status or condition protected by law in the relevant jurisdiction, such as race, sex, gender origin, marital status, family situation or pregnancy, religion, nationality, sexual orientation, age, veteran status, political opinion or disability. Sonnedix explicitly states that it does not prevent employees from associating freely. Only those qualifications and skills that are important to the job will form the selection criteria for recruitment and promotion. Benefits What we offer: Competitive Package A positive culture where everyone is encouraged to achieve their full potential The opportunity to work in a supportive, and challenging environment where you really can have impact and make a difference. Local Language Job Description Como controlador de proyectos, este rol requiere un profesional de contabilidad flexible y práctico. Como miembro principal del equipo financiero global de los Grupos, esta es una oportunidad para unirse a una empresa relativamente joven y dinámica donde tendrá la oportunidad de interactuar en todos los niveles. Competencias clave Técnico Contador calificado Excelentes habilidades de Excel Excelentes habilidades de gestión financiera técnica y analítica: atención al detalle Excelente idioma inglés y español No técnico Excelentes habilidades de presentación y comunicación. Capaz de articular los números y el riesgos involucrados para el negocio - orientados comercialmente Actitud orientada a resultados con responsabilidad rigurosa para lograr altos niveles de individuo y desempeño de la compañía Capacidad para gestionar y priorizar la carga de trabajo propia. Buen constructor de relaciones: estilo abierto y honesto Trabajador, comprometido y dedicado: enérgico y altamente enfocado Proactivo, emprendedor y de alto rendimiento que prospera en un desafío responsabilidades clave 1) gestión del capital de trabajo a. Servir de enlace con consultores externos para garantizar que los ingresos de electricidad se recauden a tiempo. si. Preparación de análisis de pronóstico de efectivo mensual y comparación de presupuesto versus real. C. Ser el punto de relación clave para los proveedores de banca local. re. Responsable del cumplimiento local de las políticas de control financiero del Grupo (por ejemplo, matriz de aprobación, autoridades bancarias) 2) Coordinar la contabilidad local de SPV, HoldCo y Service Co con el proveedor de contabilidad subcontratado a. Asegurar que el proceso de finalización mensual se complete con precisión y en línea con el tiempo de cierre mensual del Grupo si. Mantener una buena relación con el proveedor de contabilidad externo para cualquier interacción C. Asegurar que las cuentas legales estén preparadas y archivadas de manera precisa y oportuna, de acuerdo con las NIIF 3) Preparación de informes mensuales para operar SPV y Co de servicio a. Informes reales contra presupuesto dentro del calendario de fin de mes del grupo si. Trabajar con el equipo local de gestión de activos para garantizar el control de la operación de las plantas. C. Donde sea posible, busque oportunidades para mejorar el desempeño de pérdidas y ganancias re. Coordinar la contabilidad local de SPV, HoldCo y Service Co con el proveedor de contabilidad subcontratado 4) Preparar presupuesto anual y revisiones a. Preparar el presupuesto anual para cada proyecto y tenencia, en colaboración con el representante de las diferentes funciones. si. Simule flujos de efectivo y pronósticos C. Analizar variaciones Asegurarse de que las cuentas legales (incl. Consolidadas) estén preparadas y archivadas de manera precisa y oportuna 5) Revisión y análisis del modelo. a. Colaborar con el equipo de SX para mantener actualizados los modelos a largo plazo. si. Analizar variaciones CUMPLIMIENTO DEL PRÉSTAMO 6) Cumplimiento de préstamos a. Ser el propietario del proceso de Cumplimiento de préstamos, asegurando el cumplimiento según los acuerdos de crédito si. Asegurar que los pagos del servicio de la deuda se paguen a tiempo y con precisión C. Trabajar en estrecha colaboración con el controlador financiero local y el jefe de impuestos para revisar y aprobar la estructura de inversión más adecuada re. Ser el punto clave de relación para la interacción con los prestamistas locales. OTROS PROYECTOS Y ACTIVIDADES 7) Los proyectos ad-hoc podrían incluir: fusiones y adquisiciones, refinanciación de deudas, investigaciones fiscales. 8) Colaborar para el trabajo de auditoría local para cualquier requisito de auditoría legal local y revisión de auditoría grupal a. Coordinación y gestión del cronograma de auditoría local. si. Gestionar el proceso de cierre de fin de año de acuerdo con el calendario del Grupo C. Preparación de entregables de auditoría 9) Asegurar el cumplimiento de impuestos para SPV local, HoldCo y Service Co con los proveedores de impuestos subcontratados a. Revisar las declaraciones de impuestos a las ganancias corporativas preparadas por el asesor fiscal y garantizar que se presenten de manera oportuna y precisa si. Asegurar que las declaraciones de IVA se presenten de manera oportuna y precisa C. Asegurar la retención de impuestos, aranceles de importación, impuestos de timbre, etc. (cuando corresponda) se pagan de manera oportuna y precisa re. Asegurar que todos los pagos de impuestos adeudados se paguen a tiempo Liderazgo / Responsabilidad de gestión (Número de informes directos / Alcance geográfico) Con sede en Santiago, Chile. No hay informes directos. Ambiente de trabajo: basado en la oficina Demandas físicas: N / A Tipo de posición / Horas esperadas: posición a tiempo completo Viajes - N / A Educación requerida y experiencia Licenciatura en contabilidad / finanzas. Applications Close Date 28 Feb 2020
| Country | City | Job Ads |
|---|---|---|
| Spain | Madrid | 104 |
| United Kingdom | London | 57 |
| Italy | Milano | 44 |
| Chile | Gran Santiago | 19 |
| France | Paris | 14 |
| Poland | Warszawa | 14 |
| Chile | Santiago | 12 |
| France | La Ciotat | 11 |
Loading map...
Company Type: Private
Company Size: 51 - 250
Job Ads found: 275
Job Ads per Month: 6.1
Hiring Locations: 8
| Date of first job ad | 03.11.2019, 00:37 |
| Date of last job ad | 27.03.2026, 11:59 |
| Date merged | 15.04.2026, 12:33 |
| Date created | 03.11.2019, 00:37 |