FP&A Accountant
We are seeking an accomplished finance professional to join a leading FTSE 250 business as an FP&A Accountant. Reporting into the Financial Planning & Analysis manager, you will deliver comprehensive financial planning, performance reporting and treasury management to underpin key strategic decisions.
In this pivotal role within a compact, collaborative FP&A function, you will partner broadly across the business, applying your analytical expertise to cash-flow forecasting, variance analysis, cost control and board-level reporting.
The Role
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Maintain short-term cash-flow reporting to support strategic decision-making.
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Provide treasury support to optimise group cash returns.
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Investigate variances to budget to inform rolling forecasts.
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Monitor costs to ensure alignment with financial objectives.
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Assist in the production of the monthly board pack
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Support the annual budget and monthly rolling-forecast cycles.
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Deliver daily and weekly sales-performance reports.
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Undertake ad-hoc assignments across group reporting and controls.
What We\’re Looking For
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Part qualified (ACA / ACCA / CIMA)
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Advanced Excel and financial-modelling capabilities
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Proven experience in forecasting, budgeting and variance analysis
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Familiarity with treasury operations or FX desirable
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Meticulous attention to detail with a strong commercial acumen
Contact Detail:
Accountable Recruitment Recruiting Team