FP&A Manager

Location

London, UK

Contract Type

6 months FTC - £500 per day

Overview

Pearse Professionals are working with a high-growth, globally expanding business backed by significant long-term investment. Since inception the business has rapidly scaled its operations across multiple continents.

You’d be joining a lean, fast-paced team at a pivotal time, with the opportunity to work directly on funding, forecasting, and commercial insights that support ongoing expansion and innovation. The successful candidate will bring strong financial modelling skills and a proven ability to interpret large datasets, drawing out clear, actionable insights.

Role & Responsibilities:

  • Take ownership of the cash flow reporting model and support the FP&A Director in preparing funding submissions

  • Contribute to the development of the annual budget and quarterly forecasting process

  • Assist in compiling data for the Group’s long-term financial forecast

  • Provide insight into key financial drivers for inclusion in monthly reporting to senior leadership

  • Review and analyse monthly cash flow performance, identifying trends and areas for improvement

  • Support efforts to standardise and enhance monthly management reporting

  • Undertake additional ad hoc tasks and projects as part of the wider Finance team

Requirements

  • Qualified accountant

  • Comfortable working with large data sets and presenting findings to senior stakeholders

  • A background in corporate finance or transactional services would be advantageous

  • Strong financial modelling capabilities

  • Experience in a high-growth or fast-moving environment is advantageous

  • Proactive, commercially-minded, and confident engaging with senior stakeholders


Connect with Will Sharples for more details.
willsharples@pearseprofessionals.com

To apply for this role please use the contact form below:

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