FP&A - Financial Modelling Lead

FK International - Financial Search and Selection

Dublin

On-site

EUR 90,000 - 120,000

Full time

4 hours ago
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Job summary

FK International is partnering with a well-established Irish business to appoint an FP&A Modelling Lead, reporting to the Head of FP&A. The role combines FP&A, financial modelling, cashflow forecasting and treasury with exposure to senior leadership and strategic decision-making.

The successful candidate will own and enhance forecasting models, develop advanced analyses and work with executives to drive liquidity planning and strategic insights in a growth environment.

Qualifications

  • Qualified accountant or CFA with 5+ years' experience across FP&A, financial modelling, treasury or a similarly analytical finance role.
  • Advanced financial modelling and Excel capability; experience with Power BI and SQL is highly desirable.
  • Commercially minded, analytical and confident engaging with senior internal and external stakeholders.

Responsibilities

  • Own and enhance the Group's integrated cashflow forecasting model, supporting budgeting, strategic planning, liquidity and financing activities.
  • Develop sophisticated financial models and deliver commercial analysis to identify key trends, risks and opportunities.
  • Partner with senior stakeholders to improve forecasting, reporting, data analytics and decision-making capabilities.

Skills

FP&A
Financial modelling
Stakeholder engagement
Treasury

Education

Qualified Accountant or CFA

Tools

Power BI
SQL
Excel

Job description

FK International is partnering with a well-established Irish P/E backed business undergoing an exciting period of growth and transformation. As a result of this continuing growth, the business has created a new role for an FP&A Modelling Lead.

Reporting directly to the Head of FP&A, this is a high-impact role combining FP&A, financial modelling, cashflow forecasting and treasury, with significant exposure to senior leadership and strategic decision-making.

Key responsibilities include:
  • Own and enhance the Group's integrated cashflow forecasting model, supporting budgeting, strategic planning, liquidity and financing activities.
  • Develop sophisticated financial models and deliver commercial analysis to identify key trends, risks and opportunities.
  • Partner with senior stakeholders to improve forecasting, reporting, data analytics and decision-making capabilities.
Requirements for this Role
  • Qualified accountant or CFA with 5+ years' experience across FP&A, financial modelling, treasury or a similarly analytical finance role.
  • Advanced financial modelling and Excel capability; experience with Power BI and SQL is highly desirable.
  • Commercially minded, analytical and confident engaging with senior internal and external stakeholders.

This is an excellent opportunity for an ambitious finance professional to take ownership of a broad FP&A remit and play a key role within a growth oriented organisation.

About Our Client

A leading Private Equity backed Irish business.

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