FP&A Manager
- Lead the annual budgeting and financial planning process.
- Prepare and manage monthly, quarterly, and annual financial forecasts .
- Build and maintain advanced financial models to support business planning and decision-making.
- Analyze financial performance against budget, forecast, and previous periods.
- Provide clear insights on revenue, costs, profitability, cash flow, and business KPIs .
- Prepare executive-level management reports and financial dashboards .
- Conduct scenario, sensitivity, and profitability analysis for new initiatives and business decisions.
- Work closely with Business Unit Heads to improve financial performance and cost efficiency.
- Support the CFO and senior leadership with strategic financial analysis and business cases .
- Identify financial risks, trends, and opportunities and provide actionable recommendations.
- Improve and develop FP&A processes, reporting standards, and financial controls.
- Support long-term financial strategy and growth planning .
- Ensure financial data is accurate, timely, and reliable.
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or a related field .
- 7–10+ years of progressive experience in FP&A, financial planning, financial analysis, or a related field.
- CMA certification is required or strongly preferred .
- CPA, CFA, or other relevant professional certification is a strong advantage.
- Strong experience in financial modeling, budgeting, forecasting, and variance analysis .
- Excellent knowledge of P&L, cash flow, balance sheet, and financial statements .
- Advanced Microsoft Excel skills; experience with BI/ERP systems is an advantage.
- Strong analytical, problem-solving, and business partnering skills.
- Excellent communication and presentation skills.
- Proven ability to work with CFOs, senior management, and business leaders .
- Experience in a high-growth technology, EdTech, SaaS, or startup environment is highly preferred.
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