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An exciting opportunity has arisen for a commercially focused FP&A Analyst to join a growing and forward-thinking organisation. This role sits at the heart of the finance function, providing high-quality financial planning, forecasting and analysis to support strategic decision-making across the business. This is a highly visible position where you will partner with senior stakeholders, deliver meaningful financial insight, and help drive performance in a fast-paced environment.
Job Responsibility:
Lead the annual budgeting process and monthly reforecast cycles
Build and maintain financial models to support scenario planning and strategic initiatives
Produce monthly management reporting including P&L, balance sheet, cash flow and KPIs
Deliver debt analysis and ROI reporting
Analyse performance against budget and forecast, providing clear commentary and insight
Partner with operational teams to provide commercial challenge and financial guidance
Support investment appraisals, capital expenditure reviews and potential M&A activity
Continuously improve FP&A processes, reporting tools and systems
Present financial insights to senior leadership and contribute to strategic discussions
Requirements:
Qualified or part-qualified accountant (ACA, ACCA, CIMA) or equivalent experience
Strong financial modelling and analytical skills (advanced Excel essential
Power BI or similar desirable)
Confident communicator, able to present financial information clearly to non-finance stakeholders
Commercially minded with the ability to challenge constructively
Experience in a fast-paced or multinational environment is advantageous
Detail-oriented, proactive and solutions-focused
Comfortable managing multiple priorities and working to tight deadlines