Key Responsibilities
- Lead budgeting and forecasting activity
- Produce management reports and financial analysis
- Provide insight into business performance, trends and variances
- Develop financial models and scenario analysis
- Support cash flow forecasting and business planning
- Work with senior stakeholders to provide commercially focused financial insight
- Identify opportunities to improve reporting and processes
About You
We are looking for someone with previous experience in FP&A, commercial finance, financial analysis or management accounting, with strong Excel and financial modelling skills.
Ideally, you will be ACA, ACCA or CIMA qualified/part-qualified, or have equivalent relevant experience, and be confident working with senior stakeholders.
Location: Leicester
Contract: 3 months
Hours: 37.5 hours per week, 9am-5pm
Working: Hybrid and flexi-time available
Salary: Competitive