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European FP&A Manager

Michael Page (UK)

Greater London

Hybrid

GBP 80,000 - 90,000

Full time

Today
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Job summary

A leading recruitment consultancy is seeking a European FP&A Manager for their office located in Northwest London. This role involves preparing annual budgets, managing trading forecasts, and providing financial insights to senior management. The ideal candidate will have a CIMA, ACCA, or ACA qualification, strong financial analytical skills, and the ability to partner with business units. This position offers a competitive salary of £80,000 - £90,000 along with a 10% bonus and hybrid working arrangements.

Benefits

Competitive salary
10% Bonus
Private medical care
Gym membership
25 days holidays plus bank holidays
Parking available onsite
Excellent progression opportunities
Hybrid working pattern

Qualifications

  • Demonstrated ability to perform accurate financial analysis and relate it to business performance.
  • Qualified CIMA, ACCA or ACA or Qualified by experience.
  • Prior experience in commercial finance/business partnering.

Responsibilities

  • Preparation of the annual operating budget for the regional business.
  • Quarterly rolling trading forecasting and in-month flash reporting.
  • Providing insight and advice to management on financial performance.

Skills

Financial analysis
Business partnering
Excellent communication skills
Willingness to learn
Ability to work at pace

Education

CIMA, ACCA, ACA qualification or equivalent experience
Job description
Overview

International Market Leader, with offices located in the USA, London and Paris

Opportunity for an FP&A Manager / FP&A Analyst to make an impact

About Our Client

Michael Page is excited to be partnering with a Private Equity backed International Market Leader in their Industry, with offices located in the USA, London and Paris. Due to continued growth the business is recruiting for a European FP&A Manager, based in Park Royal, Northwest London, with Hybrid working.

Job Description

As the European FP&A Manager, based in Park Royal, Northwest London you will be responsible for:

To contribute to the achievement of the business plan objectives by partnering with the UK & Paris General Manager's to deliver profitable cash backed growth in EBITDA through revenue and gross margin expansion and effective management of investment and opex spend:

  • Preparation of the annual operating Budget for the regional business
  • Quarterly rolling trading Forecasting, in-month Flash reporting including analysis and explanation of trading variances
  • Using the management accounts prepared monthly to provide insight and advice to management on interpretating the financial performance in order to improve the speed and effectiveness of business decision making
  • Business partnering with the General Manager and his management team to identify and exploit market opportunities, financial analysis and insight for key strategic objectives (eg. business development, selling of additional add-on services)
  • Tracking of key operational metrics linked to financial performance (sales, service KPI's)
  • Working with the Credit Control and Account Management teams to ensure excellent management of working capital balances especially aged receivables
  • Oversight of the rolling 13-week cashflow forecast submitted to Group
  • Support groupwide analysis of current and future financial performance
  • Active participation in the Finance Leadership Team (FLT) which brings together the key financial leaders in the Group under the Chief Financial Officer

This is a new role and is part of an investment in Financial Planning & Analysis and Commercial Finance capabilities across the Group. A new operating model has recently been implemented which established 4 regional business units, reporting into the Group Chief Operating Officer in London. Hence this role is one of 4 equivalent finance roles (US West, Central, East & Europe) which are being established to provide local support to the business leaders with a solid reporting line to Group Finance

The Successful Applicant
  • A demonstrable ability to perform accurate financial analysis and corelate to business performance
  • Qualified CIMA, ACCA or ACA or Qualified by experience
  • Prior experience of providing commercial finance/business partnering
  • Excellent communication skills both within the finance organisation but especially in business terms to the senior operating and general management team
  • A willingness to learn and cooperate across geographical boundaries
  • An aptitude for working at pace and a desire/interest in working in a private equity backed environment
What's on Offer
  • Salary £80,000 - £90,000
  • 10% Bonus
  • Private medical care
  • Gym membership
  • 25 days holidays plus bank holidays
  • Parking - Available on site
  • Accessible from Harlesden, Park Royal, North Acton or Acton Main Tube/Train Station
  • Parking Onsite
  • Excellent progression opportunities
  • Hybrid working pattern: 3 days in the office and 2 days from home after training period

If you are excited about the opportunity to make a significant impact as a European FP&A Manager, we encourage you to apply today.

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