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A growing, investment platform is hiring an FP&A Manager to support a diverse portfolio of brands across North America and Europe. As part of the global finance team, this individual will play a central role in leading forecasting, reporting, and analytical initiatives that directly influence business performance. This opportunity is well-suited for a high-performing finance professional who is looking to take the next step in a fast-paced, high-growth environment and drive continuous process improvement.
Job Responsibility:
Produce monthly and quarterly management reporting, including clear and insightful variance analysis
Lead deep-dive analyses on commercial performance, cost efficiency, and investment trade-offs
Deliver ad hoc financial analysis to support key business initiatives and strategic decisions
Partner closely with senior finance stakeholders to support timely, data-driven decision-making
Develop executive-ready materials that clearly communicate assumptions, risks, opportunities, and recommendations
Drive process improvements through automation, standardization, and scalable reporting solutions
Proactively identify risks and opportunities through rigorous, data-driven analysis
Requirements:
Bachelor’s degree in finance, accounting or related field
Minimum of 5 years relevant experience
Strong financial modeling and analytical capabilities
Hands-on, detail-oriented mindset with a focus on execution and continuous improvement
Ability to manage multiple priorities and deliver high-quality outputs under tight timelines
Strong communication skills, with the ability to translate complex data into clear insights for stakeholders