Financial, Planning & Analysis Manager – Madrid

About us

Matrix Renewables is a renewable energy platform that was founded by global alternative asset manager TPG through its impact investing platform, TPG Rise, in 2020. Headquartered in Madrid, Matrix Renewables focuses on developing, constructing and being long-term owners of renewable energy assets. 

Matrix Renewables current portfolio is comprised of 2.1 GW of operational, under construction, or near ready-to-build solar PV projects and a further 5.4 GW pipeline of renewable energy projects under development, across Europe, US and LATAM. 

TPG Rise is a $14 billion impact investing platform focused on investing in and supporting the growth of world-class businesses that deliver positive and measurable social and environmental impact globally.  

TPG is a leading global alternative asset investment firm with offices in Austin, Beijing, Boston, Dallas, Fort Worth, Hong Kong, Houston, London, Luxembourg, Melbourne, Moscow, Mumbai, New York, San Francisco, Seoul, Singapore, and Washington D.C. TPG’s investment platforms span a wide range of asset classes, including private equity, growth equity, impact investing, infrastructure, growth venture, real estate, secondaries, and public equity.

 The Role 

At Matrix Renewables we are looking for a highly motivated individual to play a key role supporting our Finance Division.

Goal of the position: focused on providing near real-time business insights to key decision makers so they can make smart and timely decisions as internal and external challenges unfold; corporate reporting to Matrix investors.

In order for the FP&A manager to perform well, he/she must partner with various corners of the organization to gather and share necessary insights of financial performance throughout the company. Also needs a solid operating and accounting foundation based on appropriate standards, technology and processes all with a view to optimizing the overall finance operating model. Further, the information necessary to generate these insights must be easy to access in a timely and accurate fashion to truly engender better and more timely decision making 

Common skill set required: an understanding of accounting, finance theory, data sources and definitions, modeling, creative problem solving and the economics of the business. 

The processes typically owned by the FP&A manager include: 

• Budgeting 

• Forecasting 

• Strategic Planning 

• Management and Investors Reporting 

• Financial Analysis 

• Capital Planning 

• Business Modeling (e.g., new ventures and investments)