- Deliver consolidated monthly management information, budgets, forecasts and cashflow reports.
- Support senior leadership with high-quality financial insight and board reporting.
- Drive improvements in forecasting, analysis, and planning processes.
- Contribute to finance transformation projects including new system implementations.
- Collaborate with global FP&A teams and Shared Service Centres.
- Strong experience in group management accounting within international environments.
- In-depth knowledge of P&L, balance sheet and cashflow reporting.
- Commercial finance experience in a transforming or growth-led organisation.
- Excellent Excel skills and confident in financial modelling and reporting.
- Professional accounting qualification (e.g. ACA, ACCA, CIMA).
- Ideally experienced with SAP and Shared Service Centres.