13th September, 2026
You will be a delivery-focused FP&A Professional with Group experience and be able to work in Central London on a hybrid basis (3 days in the office and 2 days remote).
This is a hands-on role within a complex, multi-entity environment—ideal for a seasoned contractor who can pick up tasks quickly, manage large data sets, and partner confidently with senior executive stakeholders.
- Duration: 6-Month Contract
- Day Rate: £500 – £600 per day
- IR35 Status: Inside IR35 (umbrella Company)
- Location: Central London (Hybrid – 3 days office / 2 days remote)
- Start Date: Immediate
Responsibilities:
- Forecasting & Budgeting: Drive the forecast cycle and annual Group Budget prep, managing the consolidation and submission of P&L and Balance Sheet data.
- Systems & Data: Prepare and reconcile files, resolving mapping and submission issues.
- Reporting: Build monthly Flash reporting packs and performance insights for senior Business Review Meetings.
- Financial Modelling: Develop and embed a new Group Cash Flow model for ongoing tracking and forecasting.
- Commercial Challenge: Deep-dive variance analysis and challenge business unit assumptions.
Skills & Experience
- Qualified Accountant or QBE
- Experience in Group FP&A and a multi-entity environment.
- Advanced Excel
You need to be able to start at short notice and be proactive and able to thrive under tight deadlines as well as possesses excellent stakeholder management skills.
Senior Group FP&A Analyst in London employer: Trace
Trace is an exceptional employer that prioritises inclusivity and diversity, creating a supportive environment where every team member feels valued. As a Cash Management Analyst, you will benefit from a collaborative work culture that encourages professional growth and development, alongside competitive compensation and benefits. Located in a dynamic investment management firm, this role offers the opportunity to engage with a diverse range of investment strategies while contributing to meaningful financial operations.