- Lead the development of financial models to forecast future financial performance.
- Management of the annual budgeting process, ensuring alignment with strategic plan and operational goals.
- Develop forecasts to provide financial projections on a regular basis.
- Conduct variance analysis to identify trends, opportunities, and risks.
- Continual analysis of financial results assessing ROI and providing recommendations to senior management.
- Provide commercial analysis direct to the executive team to make data-driven decisions.
- Support strategic initiatives through financial modelling.
- Prepare and interpret weekly trading sales, KPI reporting and identify key performance drivers.
- Develop and maintain KPI dashboards.
- Collaborate with the sales team, marketing, and operational functions to provide insightful reporting to gain a clear understanding of departmental goals.
- Act as a business partner to all business units to support informed financial decisions.
- Identify process improvements to enhance efficiency and effectiveness.
- Leverage financial software to streamline reporting.
- Assist in the development of long-term financial plans.
- ACA, ACCA, CIMA Qualified.
- Minimum 3-5 years of experience working in an FP&A or related role.
- Proficient in financial modelling and forecasting.
- Strong analytical and problem solving skills, with a keen attention to details.
- Advanced Excel skillset.
- Strong Excel capability.
- Excellent communicator.
- Experience working in an environment with tight deadlines.
- Line management experience is desirable.