About the Role:
We are looking for a FP&A Manager to lead financial planning, liquidity management, and overall financial control in a growing financial services business. This role plays a key part in supporting sustainable growth by ensuring sound financial decision-making, effective budgeting, and disciplined cash management.
Responsibilities:
- Lead financial planning, forecasting, and budgeting activities across the business.
- Monitor and manage cash flow to ensure sufficient liquidity for operational needs.
- Develop and maintain financial projections, including profit and loss and cash flow forecasts.
- Analyze financial performance, identify key trends and variances, and provide actionable insights to management.
- Define guidelines for capital allocation, savings, and reinvestment of profits.
- Establish and monitor departmental budgets and spending limits.
- Identify and monitor financial risks and support mitigation plans in collaboration with management.
- Oversee financial processes and contribute to building scalable financial systems.
- Prepare regular financial and management reports for leadership.
- Act as a finance partner in strategic and operational discussions.
Requirements:
- 7+ years of experience in finance, FP&A, or financial management roles.
- Strong knowledge of financial planning, cash flow management, and budgeting.
- Experience preparing financial projections and management reports.
- Analytical mindset with strong problem-solving skills.
- Ability to balance strategic thinking with hands-on financial oversight.
- Experience in fast-growing or evolving business environments is a plus.
- Strong communication skills and ability to work with cross-functional teams.