Your new company I am working with one of the world’s leading private education businesses to recruit an FP&A Manager focused on cash planning and analytics to join the London-based office within the group finance function. This is a multi-billion turnover business that has ambitious growth plans and a truly global presence operating in over 25 countries.
Your new role This is a broad and varied role reporting to the Group Head of FP&A with key duties and responsibilities including:
- Build and maintain cash flow models to help maximise cash flow and EBITDA.
- In-depth working capital analysis and identification of risks and opportunities.
- Development and management of capital planning strategies.
- Detailed cash flow reporting and commentary to senior leadership.
- Business partner across departments and regions to train, educate and develop best practice.
What you’ll need to succeed You will need to be a qualified accountant with proven FP&A experience in a global organisation. You will need proven cash flow planning, management and forecasting skills with the ability to understand commercial drivers of organisations to maximise cash flow efficiencies and drive best practice. You will need to be a strong communicator, capable of building strong working relationships with a wide range of stakeholders.
What you’ll get in return You will have the opportunity to work in a global leading business committed to delivering large growth plans and the creation of a best in class corporate development function. This is a highly visible role with lots of exposure to senior leaders and the chance to have a material impact on a global business.
What you need to do now If you’re interested in this role, click ‘apply now’ to forward an up-to-date copy of your CV, or call us now.
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