Interim FP&A Manager (Commercial Analysis & Cash Management)
Location: Glasgow (Hybrid)
Contract: Interim / Immediate Start (6 months)
We are seeking an experienced Interim FP&A Manager to support a growing organisation in Glasgow during a key transition period.
About the Role
In this hands-on interim position, you will play a pivotal role in providing financial insight, improving reporting processes, and supporting strategic decision-making. You will work closely with senior leadership, commercial teams, and operational stakeholders to ensure clarity, control, and forward-looking visibility across the business.
Key Responsibilities
* Lead the monthly FP&A cycle, including budgeting, forecasting, and performance review.
* Deliver high-quality commercial analysis to support pricing, margin optimisation, and business planning.
* Enhance financial reporting, dashboards, and KPI frameworks.
* Oversee cash flow forecasting, liquidity management, and working capital analysis.
* Partner with operational and commercial teams to drive financial accountability.
* Support ad-hoc strategic projects, scenario modelling, and investment appraisals.
* Provide clear communication of financial insights to senior stakeholders.
About You
* Proven experience in FP&A or commercial finance, ideally at manager level.
* Strong commercial acumen with the ability to translate data into actionable insight.
* Solid understanding of cash management and cash flow forecasting.
* Advanced Excel / financial modelling skills (experience with BI tools desirable).
* Confident communicator with the ability to influence at all levels.
* Prior interim or contract experience advantageous but not essential.
* Based in or able to commute to Glasgow.
Day rate £450 - £550 per day