Lead FP&A Manager / Finance Business Partner (Economist / CPA)
Posted 20 days ago · 0 applicants
Saving, applying or scoring takes a few seconds to set up your free account.
The role in plain words
This role involves managing complex annual budgets, full P&L planning, and financial performance analysis across multiple business units. The day-to-day responsibilities include producing financial reports, evaluating the viability of new projects through financial modeling, and preparing cash flow forecasts. You will also use tools like SQL, Excel, and BI platforms to generate business insights and present reports to senior management.
- Bachelor's degree in Economics, Accounting, Finance, Information Systems, or a related field
- Significant experience in FP&A, budgeting, financial planning, controlling, management accounting, or commercial finance
- Proven experience with full P&L ownership, including budgeting, forecasting, profitability analysis, and financial performance management
- Strong experience building complex budgets, financial models, profitability analyses, and cash flow forecasts
- Proven experience evaluating new projects, investments, and business opportunities
- CPA qualification
- Master's degree in Finance, Economics, Business Administration, or a related discipline
- Experience with AI-based analytics and reporting solutions
Extracted from the job description · kept up to date automatically
Who this suits
This role suits experienced finance professionals with a strong background in FP&A, budgeting, and financial modeling who are comfortable working with SQL and BI platforms. It is less ideal for those without significant experience in full P&L ownership or those looking for a highly specialized, single-industry focus.
Full job description
Original listing · kept for referenceA diversified holding group with operations across agriculture, real estate, tourism, hospitality, and additional business ventures is seeking an experienced finance professional to join its Finance team.
This is a hands-on role combining budgeting, financial planning, management reporting, project evaluation, costing, financial controls, cash flow management, business analysis, and full P&L ownership. The position works closely with senior management and business unit leaders, playing a key role in supporting strategic decision-making across multiple business activities.
Responsibilities
• Lead the preparation, consolidation, and ongoing management of complex annual budgets across multiple business units and corporate entities.
• Take ownership of full P&L planning, monitoring, analysis, and performance management across multiple business activities.
• Partner with senior management and business unit leaders to develop, monitor, and optimize budgets.
• Produce monthly, quarterly, and cumulative financial and operational reports.
• Monitor budget performance, analyze budget-to-actual variances, identify trends, and provide actionable recommendations.
• Present financial and operational reports to senior management, business unit leaders, and Board members.
• Evaluate the financial viability of new projects and business initiatives through profitability analysis, financial modeling, business case development, scenario analysis, and investment simulations.
• Support strategic financial planning, forecasting, and management decision-making.
• Prepare and monitor cash flow forecasts and liquidity analyses.
• Perform costing analyses and maintain financial and costing controls, including reconciliation of financial records and ensuring data accuracy across financial systems.
• Produce billing and costing reports from financial and operational systems.
• Develop executive presentations, dashboards, and management reports using PowerPoint, Crystal Reports (SAP BusinessObjects), and additional reporting tools.
• Utilize SQL, Access, BI platforms, and AI-enabled analytical tools to generate meaningful business insights and improve reporting capabilities.
• Lead cross-functional and ad hoc strategic projects as required.
• Identify opportunities for operational efficiencies and process improvements.
Requirements
• Bachelor's degree in Economics, Accounting, Finance, Information Systems, or a related field.
• CPA qualification is an advantage.
• Significant experience in FP&A, budgeting, financial planning, controlling, management accounting, or commercial finance.
• Proven experience with full P&L ownership, including budgeting, forecasting, profitability analysis, and financial performance management.
• Strong experience building complex budgets, financial models, profitability analyses, and cash flow forecasts.
• Proven experience evaluating new projects, investments, and business opportunities.
• Strong understanding of accounting principles and financial reporting.
• Advanced proficiency in Microsoft Excel and PowerPoint.
• Experience working with SQL, Access, and BI platforms.
• Experience with Crystal Reports (SAP BusinessObjects) or similar financial reporting platforms.
• Strong analytical, quantitative, and problem-solving skills.
• Excellent communication and presentation skills.
• Ability to manage multiple priorities while working independently.
• Strong interpersonal skills with a service-oriented approach.
Advantages
• Master's degree in Finance, Economics, Business Administration, or a related discipline.
• Experience with AI-based analytics and reporting solutions.
• Experience supporting diversified organizations with multiple business units.
• Experience driving financial process improvements and reporting automation.
Questions about this role
- This listing did not state a salary. We only show pay when the employer publishes it.
- Bachelor's degree in Economics, Accounting, Finance, Information Systems, or a related field, Significant experience in FP&A, budgeting, financial planning, controlling, management accounting, or commercial finance, Proven experience with full P&L ownership, including budgeting, forecasting, profitability analysis, and financial performance management, Strong experience building complex budgets, financial models, profitability analyses, and cash flow forecasts, Proven experience evaluating new projects, investments, and business opportunities