Alexander Lloyd are delighted to be partnering with a instantly recognisable and growing organisation based in Surrey on the hire of a Financial Modeller on a permanent basis.
The role will play a key role in supporting strategic business planning through high-quality financial analysis and modelling.
Key Responsibilities:
- Maintain and update monthly and annual cash flow models to assess short-term financing needs.
- Support biannual reporting by maintaining the corporate treasury model.
- Prepare long-term financial forecasts to guide funding strategies.
- Provide financial analysis for strategic projects, investment cases, and commercial decisions.
- Communicate financial insights to senior stakeholders, including executives and investors.
- Coordinate updates across various financial models to align with current business data.
- Conduct sensitivity analysis and scenario testing to evaluate financial risks and assumptions.
- Integrate macroeconomic factors into financial models and explain their impact.
Requirements:
- Qualified accountant (or equivalent experience).
- Strong experience in financial modelling and business case development.
- Proficient in three-statement modelling and financial forecasting.
- Familiarity with investment appraisal methods.
- Experience with corporate finance and treasury instruments is a plus.
- Excellent Excel skills, including VBA, complex formulas, and data analysis.
- Strong communication skills with the ability to present to senior leadership.
Please quote 51484 when calling Phill Stagg at Alexander Lloyd or email them at . This is only one of many vacancies we are handling. Alexander Lloyd is a leading recruiter across a range of roles within the Finance, Accountancy, Procurement & Supply Chain space from entry to c-suite level.