£500 Per day
Outside
Hybrid
London Area, United Kingdom
Summary: The FP&A Manager role is focused on providing financial analysis, forecasting, and reporting for a Private Equity-backed SaaS business undergoing significant transformation. The position requires an ACA qualified individual with experience in M&A and the SaaS sector to support budgeting, performance tracking, and process improvements. The role involves collaboration with organizational leaders to drive financial strategy and decision-making. Immediate start is required for this 6-month contract position based in London.
Key Responsibilities:
- Lead the annual budgeting and quarterly forecasting processes.
- Lead continued process improvements.
- Prepare and present insightful financial reports to senior leadership.
- Support with ad-hoc scenario modelling.
- Support with M&A activities.
- Develop and maintain financial models to support strategic initiatives.
- Analyze key performance indicators (KPIs) and identify trends and variances.
- Partner with department heads to manage their budgets and financial performance.
- Drive continuous improvement in financial planning and analysis processes.
Key Skills:
- Accounting qualified (ACA).
- Prior experience in SaaS.
- M&A experience is highly desirable.
Salary (Rate): £500 Per Day
City: London
Country: United Kingdom
Working Arrangements: hybrid
IR35 Status: outside IR35
Seniority Level: Mid-Level
Industry: Finance
FP&A Manager
Location: London (2 days per week)
Rate: £500 Per Day
Outside IR35
Contract : 6 Month Contract
Start: Immediate
CK0203
Finatal are partnering with a Private Equity-backed SaaS business who are seeking an FP&A Manager to support their continued growth. They are currently going through a large transformation and are needing someone to support continue process improvements. This business is currently pursuing an aggressive buy & build strategy therefore the ideal candidate will have experience with M&A. This candidate must be ACA qualified and have experience within the SaaS sector.
In this key role, you'll be responsible for providing financial analysis, forecasting, and reporting to help support key decision making. You'll partner with leaders across the organization to build budgets, track performance, and identify opportunities for improvement.
What you'll do:
- Lead the annual budgeting and quarterly forecasting processes.
- Lead continued process improvements.
- Prepare and present insightful financial reports to senior leadership.
- Support with ad-hoc scenario modelling.
- Support with M&A activities.
- Develop and maintain financial models to support strategic initiatives.
- Analyze key performance indicators (KPIs) and identify trends and variances.
- Partner with department heads to manage their budgets and financial performance.
- Drive continuous improvement in our financial planning and analysis processes.
Requirements:
- Accounting qualified.
- ACA
- Prior experience in SaaS is needed.
- M&A experience is highly desirable.