Asset Green
Group Reporting Manager

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Group Reporting Manager
London | Full-Time
Asset Green (AG) is a UK-based privately owned strategic investment group with a successful track record of investment activities in Europe, Asia, Africa, and the Middle East. It is part of a multi-disciplined family office group with a pedigree and history going back almost 100 years.
AG has developed a diversified portfolio of large-scale industrial and commercial businesses and investments across multiple sectors, with specialisms including renewable energy, agri-food, and prime real estate.
About the Role
The Group Reporting Manager is responsible for leading the financial reporting, planning, and forecasting activities across a diverse international portfolio of operating companies and strategic investments. The role requires high-quality financial analysis and business insights for senior management, ensuring timely and accurate reporting while supporting strategic decision-making across multiple transactions and jurisdictions. Working closely with regional finance teams, operational leaders, and investment owners, the position plays a critical role in driving financial discipline, improving reporting processes, and delivering meaningful performance analysis to executive stakeholders and decision makers.
Key Responsibilities
Financial Reporting & Analysis
- Lead the preparation and delivery of monthly management reporting packs, producing both entity-level and consolidated group financial reports for senior leadership.
- Extract, validate, and reconcile financial results from reporting systems, ensuring the integrity, completeness, and accuracy of all financial data.
- Prepare concise executive summaries by consolidating operational updates and financial performance commentary from regional business leaders.
- Analyse financial performance, identify key trends and variances, and provide actionable insights to support informed business decisions.
- Coordinate with country managers and regional finance teams to ensure the timely submission and accuracy of monthly financial information.
- Continuously review and enhance reporting processes, controls, and reporting standards to improve efficiency and consistency.
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Regional Financial Coordination
- Manage the monthly financial reporting process across assigned portfolio companies, ensuring consistent reporting standards throughout the Group.
- Coordinate the collection and consolidation of financial information from regional finance teams and local accountants across international operations.
- Build strong working relationships with finance and operational stakeholders across multiple jurisdictions to ensure effective communication and collaboration.
- Monitor reporting deadlines and ensure all regional financial submissions are completed by the agreed monthly timetable.
Budgeting & Forecasting
- Lead the annual budgeting process across all portfolio companies, working closely with regional management teams to develop robust financial plans.
- Coordinate the Group's annual strategic planning process, consolidating regional business assumptions and financial forecasts into a comprehensive Group budget.
- Prepare detailed financial models and projections to support investment planning and operational decision-making.
- Manage the monthly and quarterly rolling forecasting process, ensuring forecasts accurately reflect changing business conditions and operational performance.
- Perform variance analysis against budget and forecast, identifying risks, opportunities, and key business drivers.
- Support senior management with scenario modelling, sensitivity analysis, and strategic financial planning initiatives.


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Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or a related discipline.
- Professional accounting qualification (ACA, ACCA, CIMA, CPA, or equivalent).
- Experience within a private equity-backed business, investment management, or multinational corporate environment is highly desirable.
- Proven experience in management reporting, FP&A, and corporate finance.
- Strong experience preparing consolidated management reporting across multiple legal entities and international operations.
- Advanced financial modelling, budgeting, forecasting, and analytical skills.
- Excellent understanding of financial statements and performance analysis.
- Experience working with multiple stakeholders across different countries and cultures.
- Strong proficiency in Microsoft Excel and financial reporting systems; experience with Oracle, Smartsheet, or similar reporting platforms is advantageous.
- Ability to manage multiple priorities while meeting tight reporting deadlines.
- Exceptional attention to detail, organisational skills, and commercial acumen.
The role will be based in London - we will not sponsor for this position.
Asset Green welcomes applicants from all backgrounds and is part of a diverse and multi-cultural family office headquartered in Mayfair with offices and operations globally.
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