Jersey Water
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Provides financial control, forecasting, reporting, governance, and insight across Jersey Water’s capital programmes. Responsibilities include maintaining budgets, forecasts, actuals, cost records, capitalization, cashflow models, variance analysis, audit evidence, business cases, investment appraisals, and financial benefits tracking. The role partners with Finance, project teams, PMO, procurement, and capital delivery stakeholders to identify risks, support decision-making, and improve project financial governance.



