At Liberty Global, we connect people through cutting-edge technology.

As a world leader in broadband, video, and mobile communications, we invest in fibre and 5G networks, providing over 85 million fixed and mobile connections through leading brands, such as Virgin Media O2, VodafoneZiggo, and Telenet.

Our Ventures portfolio has strategic stakes in over 75 companies in content, tech, and infrastructure, including ITV, Formula E, AtlasEdge, and Egg. Our scale enables us to transfer knowledge and expertise across our operations and investments, creating a dynamic family of brands united in the pursuit of innovation and excellence.

We prioritize diversity, equity, and sustainability in our workplace and communities, using technology for good. If you're entrepreneurial and thrive on challenges, join our high-performing team.

egg Group is a key growth enabler for the future. We have three strategic energy themes in which we are investing:

  • Renewable energy infrastructure

  • Electrification of homes and businesses

  • Electrification of road transport

We have three businesses in the egg Group dedicated to each of the themes for investment; egg Power, egg Solutions and Believ. Based on the strategy for each business, the products being built, the plans in place and the equity valuations attracted by these businesses, we expect these businesses to be a key driver of growth for Liberty Global.

These businesses also support our People, Planet and Progress objectives as we aim to support Customers to electrify everything and Society to decarbonise and deliver more sustainable outcomes for the future.

Job Purpose

As Finance Manager, you will play a critical role in supporting and shaping the finance agenda for egg Power’s fast‑growing renewable energy development platform, operating at the intersection of infrastructure, private capital, and the energy transition.

Reporting directly to the Finance Director, this is a high‑responsibility, high‑learning role designed for an ambitious, high‑potential finance professional. You will gain broad exposure across strategic finance, capital planning, governance, and investment decision‑making, while working closely with senior stakeholders across the business including Group FP&A, Liberty Blume (outsourced back-office Finance team) and external debt/equity partners.

The role combines strong technical foundations with real commercial influence. You will take ownership of core corporate budgeting, forecasting, planning, and reporting processes, while also supporting financing initiatives, investment analysis, and the development of scalable finance and governance frameworks as the platform grows.

This position is ideal for a driven, intellectually curious individual who is keen to progress quickly, enjoys working in complex and fast‑paced environments, and wants to build a career in energy, infrastructure, and private capital.

The ideal candidate will bring rigour, initiative, and a continuous improvement mindset, with the opportunity to develop into a trusted finance partner to the leadership team.

KEY ACCOUNTABILITIES

Strategic Finance & Investor Engagement

  • Play a central role in the corporate budgeting, forecasting, and financial reporting cycle, delivering accurate, transparent, and timely insights to senior leadership and investors.

  • Support the execution of financing initiatives (e.g. equity sales, JV structuring, junior financings) in close collaboration with legal, commercial, and external advisors.

  • Support M&A and strategic transactions, including post‑transaction integration.

  • Act as a trusted finance partner to senior stakeholders, translating complex financial data into clear, actionable insights that inform decision‑making and drive accountability.

  • Design, build, and continuously enhance financial models and planning tools, with a particular focus on equity funding, capital at risk, and long‑term value creation.

  • Own and evolve external debt reporting across projects, working closely with Liberty Blume to ensure robust, efficient, and scalable processes.

  • Deliver high‑quality deep‑dive analysis (variance, trend, and sensitivity) to identify risks, optimise outcomes, and support strategic choices.

  • Drive continuous improvement across planning, reporting, and forecasting processes, leveraging technology, automation, and AI to improve speed, accuracy, and insight.

  • Uphold strong corporate governance standards, ensuring compliance with financial, contractual, and reporting frameworks.

Management Reporting & Performance Insights

  • Deliver month‑end commentary to Group FP&A and CFO Growth, based on month-end accounts provided by Liberty Blume, including clear insights on project economics and portfolio performance.

  • Develop and maintain scenario‑based forecasting tools to support strategic planning, risk management, and stakeholder engagement.

  • Track and analyse performance against budget across in‑construction and operational projects, highlighting risks, opportunities, and corrective actions.

  • Maintain and own the cash flow forecast, ensuring sufficient liquidity to support growth and investment ambitions.

Other Responsibilities

  • Review VAT returns against expected monthly spend, ensuring alignment with project forecasts and timely identification of variances.

  • Lead and contribute to special projects and strategic initiatives, providing commercial rigour and financial leadership across the business.

KNOWLEDGE & EXPERIENCE

ESSENTIAL SKILLS & ABILITIES:

  • Excellent written and verbal communication and presentation skills

  • Ability to influence senior leaders, present clearly, and drive financial narratives

  • Proactive approach and can-do attitude, comfortable working with ambiguity

  • Demonstrates commercial acumen with a good grasp of key financial performance drivers

  • Comfortable working in an agile environment, easily able to juggle multiple priorities and adapt quickly and calmly to change

  • Strong stakeholder management and problem-solving skills, with the ability to facilitate between contractual parties where needed

  • Excellent attention to detail, organizational, and problem-solving skills

  • Analytical, pragmatic, and results-driven, with a strong ability to work cross-functionally

  • Advanced proficiency in Microsoft Excel and PowerPoint

  • Fluency in English (both verbal and written)

DESIRABLE SKILLS & ABILITIES:

  • Expertise in financial modeling, with the ability to create and maintain complex models.

  • Experience with financial software (e.g., Oracle, Smartview, HFM) is highly desirable

  • Experience using AI tools and platforms to increase productivity and efficiency

PREFERRED EDUCATION/ QUALIFICATIONS:

  • Required: CIMA, ACCA, or ACA qualified (or equivalent)

  • Preferred: Experience in Capital Allocation or Financial Planning and Analysis role

Whats in it for you?

  • Competitive salary + Bonus **where applicable**

  • 25 days annual leave with the option to purchase 5 more

  • Access to wellbeing and mental health benefits such as the Calm app, personal medical, critical illness cover and dental insurance

  • Matched pension contribution up to 10%

  • 24 hours of paid Volunteer Time Off

  • Discounted gym and wellness memberships

  • Access to our car benefit scheme

  • Access to our online learning platform to continue to develop and grow your career with us

  • The chance to join an innovative, fast-paced and passionate team