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We are seeking a highly experienced FP&A Consultant to take ownership of financial modelling and board-level financial reporting for a complex, capital-intensive construction and infrastructure business undergoing a private equity exit process. This is a hands-on, specialist role focused on building and maintaining high-quality financial models and delivering professional, board-ready financial analysis. The primary initial deliverable is the creation of a new, best-in-class board pack, brought fully in-house and aligned with the standards expected by investors, lenders, and directors. The successful candidate will replace an externally prepared, junior-level board pack with robust, insightful reporting, establish proper actuals vs budget tracking and variance analysis, and act as the core financial modelling resource for the business during a period of rapid change.
Job Responsibility:
Design and deliver a new board pack that meets professional board and private equity standards
Bring board pack preparation in-house, replacing the current externally produced materials
Establish clear, consistent processes for: Actuals vs budget tracking
Variance analysis with meaningful commentary
Cash flow visibility and forward-looking insights
Ensure reporting reflects senior-level financial judgment, not junior or newly-qualified output
Produce materials the board can rely on for decision-making in a fast-moving environment
Build and maintain best-in-class financial models, including: Detailed three-statement models
Integrated cash flow forecasting models
Capex-heavy project and construction cash flow models
Take over and further develop the cash flow forecasting function currently being built externally, improving speed, accuracy, and usability
Model and analyse complex capital structures, including: Partial asset or equity sales
New debt facilities
Bridge equity and interim funding arrangements
Support ongoing financial analysis requirements throughout the private equity exit process, despite frequent changes to assumptions and structure
Operate effectively in a private equity environment, understanding the demands of: Equity raises
Debt raises and refinancing
Investor and lender reporting
Rapidly update models and analysis as deal structures, timelines, and assumptions evolve
Partner closely with senior leadership to ensure financial outputs remain consistent, credible, and decision-useful
Work closely with the hiring manager and senior leadership as a trusted modelling and analysis partner
Clearly articulate model logic, assumptions, and outputs to non-technical stakeholders
Be able to walk through financial models in detail, both internally and during interviews
Requirements:
Exceptional financial modelling capability
Proven experience building sophisticated, audit-ready models in capital-intensive businesses
Strong background in private equity environments, including exposure to complex financing structures
Experience producing board-level financial reporting that meets institutional standards
Deep understanding of cash flow dynamics in construction or infrastructure contexts
Ability to work accurately and decisively in a fast-changing, transaction-driven context
Industry background in Construction, Property infrastructure, Energy or other heavy capex industries (Strongly Preferred)
Highly detail-oriented with strong commercial judgment
Comfortable operating independently as a specialist
Able to impose structure and discipline on financial processes
Confident engaging with senior stakeholders and board members
Pragmatic, solutions-focused, and able to move quickly without sacrificing quality