Conduct budgeting cycles, rolling forecasts and long-term planning together with business areas, building multi-scenario financial models (P&L, cash flow statement, balance sheet).
Act as a business partner to business areas (Sales, Marketing, Product, Ops), facilitating business reviews and forecast reviews, and influencing investment and resource prioritization decisions through actionable insights.
Prepare business cases (pricing, new products, capital projects) with economic/financial feasibility and sensitivity analysis to support strategic decisions.
Produce management reports, automated dashboards and variance analyses with detailed commentary; structure segment- and product-level analyses that answer strategic questions.
Apply statistical analyses (correlations, linear regressions, seasonal trends) and monitor departmental KPIs, proactively identifying performance drivers, risks and opportunities.
Challenge existing processes and implement efficiency improvements in budgeting, forecasting and reporting, automating routines using BI, SQL, macros and AI to validate assumptions.
Translate financial complexity into clear narratives for non-financial stakeholders, adapting communication to the audience and simplifying complex data.
Requirements
4+ years in FP&A, financial planning, consulting, investment banking or corporate development, with a track record of building financial models.