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Head of Financial Planning and Analysis, Exclusive Opportunity

Pratap Partnership Ltd

Castleford

On-site

GBP 70,000 - 110,000

Full time

30+ days ago

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Job summary

An ambitious and forward-thinking company is seeking a Head of Financial Planning & Analysis to shape financial insight and strategy. In this critical role, you will lead budgeting, forecasting, and treasury strategy while partnering with divisional leadership to drive performance. This position offers a unique opportunity to influence a dynamic organization at a pivotal growth stage. Join a collaborative leadership team where your expertise will directly impact the company's success and growth trajectory. If you are a qualified finance professional with a strategic mindset and a passion for driving financial excellence, this role is perfect for you.

Qualifications

  • Qualified finance professional with significant FP&A and treasury experience.
  • Proven track record in driving planning and performance in complex environments.

Responsibilities

  • Lead Group-wide budgeting, forecasting, and commercial analysis.
  • Own cash flow forecasting and liquidity planning, developing treasury strategy.

Skills

Financial Modelling
Analytical Skills
Stakeholder Management
Leadership Capability
Communication Skills

Education

Qualified finance professional (ACA, ACCA, CIMA, or equivalent)

Tools

FP&A tools

Job description

A high-growth, PE-backed business in West Yorkshire is looking for a commercially astute and forward-thinking Head of Financial Planning & Analysis to lead the Group’s financial planning, forecasting, and treasury strategy.

This newly created role represents a rare opportunity to join a dynamic and acquisitive organisation at a critical point in its growth journey. The successful candidate will play a central role in shaping financial insight and ensuring robust liquidity and capital planning across a complex and evolving business landscape.

Key Responsibilities:
  • Lead Group-wide budgeting, forecasting, long-term planning, and commercial analysis.
  • Own cash flow forecasting and liquidity planning, including the development of treasury strategy and banking relationships.
  • Partner with divisional leadership and operational finance teams to drive performance insight and financial control.
  • Support key strategic initiatives including M&A, refinancing, and investment decisions.
  • Present clear, actionable insight to the Board and senior stakeholders.
  • Build and develop FP&A tools, processes, and capability in a hands-on and fast-moving environment.

This is a key senior hire within the organisation with superb future career progression.

Minimum Requirements:
  • Qualified finance professional (ACA, ACCA, CIMA, or equivalent).
  • Significant experience in FP&A, treasury, and commercial finance roles at group or divisional level.
  • A proven track record in driving planning, performance, and liquidity in a complex, multi-entity environment — ideally with PE experience.
  • Strong financial modelling and analytical skills with a strategic mindset.
  • Excellent communication, stakeholder management, and leadership capability.
  • Confident, proactive, and comfortable working at pace in a growth business.

This is a rare chance to shape a critical function in a highly successful and ambitious business with significant headroom for growth. You’ll be joining a driven and collaborative leadership team and will have the autonomy and influence to truly make your mark.

Please contact me for full details of this brilliant new role in West Yorkshire.

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