London - Hybrid
3 - 6 month contract
As Head of FP&A, you will lead the forecasting, reporting, and analysis of the Group’s performance across the full P&L, cash flow, and key initiatives. Partner with non-financial stakeholders to build, challenge, and validate budget assumptions. Deliver ad hoc insights to identify risks and opportunities within the business plan.
Support strategic projects, including finance system upgrades such as ERP and EPM implementations. Challenge the status quo and introduce innovative ideas to enhance business performance. Apply strong Excel modelling skills to develop and maintain the Group’s reporting framework.
Qualified CIMA, ACA, ACCA with significant PQE. Excellent communication and business partnering skills. Project management skills in co-ordinating information with numerous stakeholders. Being able to step back and see the bigger picture using data. Ability to create strong working relationships with key internal financial & non-financial stakeholders. Experience in implementing forecasting software or other systems a plus.