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Octopus Energy

Group Strategic Finance Analyst

Octopus Energy

. Develop and maintain near-term and long-term financial models across the Group .

Posted 10/2/2026full-timeLondon • United KingdomJuniorMid-LevelWebsite

Core Competencies

Role fit
Core Competencies

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Demonstrates expertise in financial planning and analysis, including building and maintaining complex financial models, and effectively communicating financial insights to senior stakeholders. Proficient in managing capital allocation processes and supporting investor relations through detailed reporting and presentations.

Highest-signal resume keywords
Financial Planning And Analysis (FP&A)Financial Modelling3-Statement Financial ModellingAdvanced Excel SkillsInvestor Reporting

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Financial Modelling3-Statement Financial ModellingFinancial ReportingBudget PreparationData AnalysisCapital AllocationFinancial Risk ManagementDue DiligenceP&L AnalysisCash Flow Analysis
Soft Skills
Analytical SkillsEffective CommunicationPresentation SkillsStakeholder ManagementAdaptability
Industry Keywords
Corporate FinanceCapital StructureInvestor RelationsFinancial OutlooksBoard Reporting

About the role

Key responsibilities & impact
  • Develop and maintain near-term and long-term financial models across the Group
  • Consolidate entity-level models across four business units, more than two dozen entities, and over a dozen active country presences into Group-level outputs
  • Coordinate annual budget preparation across the strategic finance team and broader entity finance teams
  • Support the CFO in identifying and managing trade-offs across growth, returns, and liquidity through capital allocation
  • Evaluate the impact of new business lines, products, services, and other investments
  • Provide financial outlooks at month end and support month-end reporting and analysis
  • Support Group CFO with investor relations Q&A preparation
  • Summarise and convey monthly financial and strategic material for the Group
  • Prepare ad hoc investor relations requests and quarterly board content
  • Support debt and equity funding and projects affecting capital structure, allocation, and financial risk
  • Assist with information memorandum preparation, due diligence, financial reports, and lender Q&A
  • Manage monthly and ad hoc Group guarantees, LC issuance, and capital allocation processes
  • Evaluate business cases for new requests and investments

Requirements

What you’ll need
  • 2+ years of experience or knowledge in financial planning and analysis (FP&A) and/or corporate finance
  • Experience building and maintaining financial models
  • 3-statement financial modelling covering P&L, Balance Sheet, and Cash Flow interconnections
  • Advanced Excel skills
  • Familiarity with financial reporting and month-end processes
  • Strong analytical skills and ability to manage and interpret complex data
  • Experience or exposure to board and investor reporting and financial presentations
  • Ability to summarise 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

Benefits

Comp & perks
  • Flexible, autonomous work culture
  • Employee perks and benefits through the UK perks hub
  • Interview process accommodations and customised interview process where needed
  • Equal opportunity and inclusive work environment
  • Salary flexibility discussed with recruiters