Corporate Finance Manager (Interim)
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Job Title: Interim Corporate Finance manager
Role Overview:
We are seeking an experienced Interim Corporate Finance manager to lead the Group's corporate finance activity through a critical refinancing and build-out phase. The role will focus on delivering a successful refinancing of existing facilities, securing funding headroom to support a multi-year capex and expansion programme, and strengthening capital structure discipline in a leveraged, PE-backed environment.
The role will work closely with the CEO, CFO, Board and private equity sponsor, and will play a central role in lender engagement, financial modelling, covenant management and investment appraisal as the platform scales. This is a hands-on interim role requiring strong execution capability, technical depth and credibility with senior stakeholders.
Refinancing and Capital Structure
• Support the preparation and execution of the Group's refinancing process, including amendment, extension or replacement of existing debt facilities
• Own refinancing financial analysis, including base case and downside modelling, covenant structuring, headroom analysis and sensitivities
• Support negotiations with lenders and credit committees on pricing, maturity profiles, covenants, security packages and flex provisions
• Prepare high-quality refinancing materials for the Board, lenders and PE sponsor
Capex and build-out funding
• Together with the Treasurer, support the CFO relating to the Group's data centre build and expansion programme, ensuring funding structures support phased delivery and utilisation ramp-up
• Own and apply robust investment appraisal processes for new builds, expansions and major enabling infrastructure (power, cooling, land, shells)
• Ensure capex plans, drawdown profiles and commissioning timelines are aligned with financing structures and covenant requirements
• Develop and maintain site-level and portfolio-level models reflecting key data centre drivers (capacity, utilisation, pricing, power costs, capex efficiency)
• Support post-investment performance tracking against underwriting assumptions
Financial Modelling, Forecasting and Covenants
• Together with the Head of FP&A, support the Group's integrated corporate and financing model, ensuring consistency between budgets, forecasts, covenant models and lender reporting
• Lead covenant forecasting, stress testing and scenario analysis to support ongoing compliance and strategic decision-making
• Support preparation of refinancing, lender and rating (if applicable) materials, including base and downside cases
• Translate complex modelling outputs into clear, decision-ready insights for senior stakeholders
Governance, Risk and Board Support
• Prepare clear, high-quality papers for the Board and Audit & Risk Committee covering refinancing, capex commitments and covenant position
• Ensure financing and investment decisions comply with internal governance, approval thresholds and lender requirements
• Identify and manage risks associated with leverage, liquidity, construction phasing and macroeconomic changes
• Support development of a disciplined capital allocation and funding framework appropriate to a scaling platform
Leadership and Ways of Working
• Coordinate cross-functional teams across Finance, Development, Commercial, Operations, Legal and Tax
• Provide hands-on leadership and prioritisation across multiple concurrent workstreams
• Embed best-practice processes around modelling, governance and decision-making that endure beyond the interim period
Required Qualifications and Experience
Essential Requirements:
• Professionally qualified accountant (ACA, ACCA, CIMA) or strong corporate finance / investment banking background
• Significant experience leading or supporting refinancing processes in leveraged or PE-backed environments
• Strong understanding of debt structures, covenants, security packages and lender dynamics
• Advanced financial modelling capability, including covenant and downside modelling
• Experience operating in capex-intensive, asset-heavy or infrastructure-style businesses
• Ability to add value quickly in an interim, delivery-focused role
Preferred Qualifications:
• Experience in data centres, digital infrastructure, real assets or regulated / contracted-revenue sectors
• Prior exposure to construction-phase risk, phased capex drawdowns and utilisation ramp-ups
• Experience working directly with private equity sponsors and investment committees
• Previous interim or transformation-phase senior finance roles
Key Skills and Competencies
• Strong commercial judgement combined with technical rigour
• Credible presence with lenders, advisers, PE sponsors and Boards
• Clear communicator able to simplify complex financing and risk issues
• Highly organised, resilient and outcome-focused
• Comfortable operating under time pressure and with incomplete information
What We Offer:
• A high-impact interim role at a pivotal point in the platform's development
• Direct exposure to refinancing negotiations, capex funding and PE-level decision-making
• Close working relationship with the CFO, CEO and sponsor
• Competitive interim compensation aligned to experience and delivery expectations