FP&A Manager EY GDS
Buenos Aires - Argentina
Job Summary
The FP&A Manager is responsible for delivering highquality financial planning forecasting and performance management outcomes across business units or client engagements.
The role leads FP&A execution by managing planning cycles producing forwardlooking insights and partnering with business stakeholders to support decisionmaking. The FP&A Manager embeds standard processes analytical rigor and digital tools to ensure accurate forecasts transparent performance views and valueadding insights.
This role acts as a key enabler of the futureready FP&A model supporting transformation initiatives uplifting team capability and translating financial analysis into clear actionable narratives.
Job Goals
- Deliver reliable planning and forecast outputs
- Ensure accurate timely budgets forecasts and longrange plans.
- Support scenario modelling and forecasting in response to business changes.
- Support business performance management
- Provide meaningful insights and analysis to finance leaders and business partners.
- Help shift FP&A from historical reporting towards forwardlooking insight.
- Ensure performance transparency
- Deliver clear visibility of drivers variances and outcomes across P&L cash flow and KPIs.
- Produce consistent management reporting and performance commentary.
- Enable digital and insightled FP&A ways of working
- Leverage automation analytics and dashboards to improve efficiency and insight quality.
- Reduce manual analysis and increase valueadded interpretation.
- Drive continuous improvement
- Identify opportunities to standardize simplify and improve FP&A processes.
- Contribute to productivity improvement and costtovalue outcomes.
- Develop team capability
- Coach and develop FP&A team members in analytical commercial and storytelling skills.
- Build a strong pipeline of future FP&A leaders.
Key Responsibilities
- Manage delivery of core FP&A processes including:
- Annual Budgeting & Rolling Forecasts
- Strategic & LongRange Planning support
- Management Reporting & Performance Reviews
- Cost Margin and Profitability Analysis
- Cash Flow and Working Capital Analysis
- Scenario and WhatIf Modelling
- Ensure adherence to global FP&A standards calendars assumptions and methodologies.
- Prepare highquality forecast assumptions variance analysis and performance narratives.
- Support governance of inputs data quality and analytical consistency.
- Act as a key point of contact for business and finance stakeholders during planning and performance cycles.
Digital & Analytical & Transformation Enablement
- Use analytics and BI tools (e.g. Power BI) to deliver insightful userfriendly dashboards and reports.
- Support adoption of driverbased planning and connected planning solutions.
- Partner with transformation teams to:
- Automate recurring analyses and reports.
- Improve data integration and planning efficiency.
- Enhance predictive and scenariobased insights.
- Track improvements in forecast accuracy cycle times and reporting efficiency.
Strategic Leadership & Stakeholder Management
- Partner with business operations and finance stakeholders to understand performance drivers.
- Provide clear explanations of financial results trends risks and opportunities.
- Translate analysis into concise decisionready insights for leadership forums.
- Support senior finance leaders with materials for performance reviews and executive updates.
Capability & People Development
- Manage and coach FP&A analysts and senior analysts.
- Conduct regular performance feedback and skills development.
- Build team capability across:
- Financial modelling and analysis
- Business partnering and communication
- Data analytics and automation literacy
- Foster a culture of accountability continuous improvement and insightdriven thinking.
Performance Risk & Control Management
- Support tracking of KPIs related to forecast accuracy planning effectiveness and insight impact.
- Assist in monitoring benefits realization for cost initiatives and strategic programs.
- Help maintain clear linkage between targets performance outcomes and financial results.
Functional & Technical Skills
- Strong experience across FP&A activities including:
- Budgeting Forecasting and Planning
- Financial Modelling and Variance Analysis
- Performance Management and KPI Reporting
- Cost and Profitability Analysis
- Cash Flow Analysis
- Solid understanding of business drivers and financial outcomes.
- Experience working within standardized FP&A operating models.
- Proficiency in analytics and visualization tools (Power BI Excel).
- Familiarity with planning and EPM platforms (e.g. Anaplan SAP Analytics Cloud Adaptive).
- Good understanding of data quality controls and planning integration.
Future-Ready & Behavioral Competencies
- Analytical Rigor: Applies structured thinking to complex financial problems.
- Business Acumen: Understands how financial drivers link with business outcomes.
- Insight & Storytelling: Communicates analysis clearly and effectively.
- Digital Mindset: Embraces analytics automation and new tools.
- Collaboration: Works effectively across finance and business teams.
- Accountability: Owns deliverables and drives highquality outcomes.
Performance Metrics / KPIs
- Forecast accuracy and variance quality
- Timeliness of budgets and forecasts
- Quality and clarity of management reporting
- Stakeholder satisfaction
- Productivity and automation benefits
- Team capability development
Qualifications & Experience
- Education: CA CPA ACCA MBA (Finance) or equivalent.
- Experience: 812 years in finance including 3 years in FP&A or performance management roles.
- Demonstrated experience in:
- Budgeting forecasting and management reporting.
- Business partnering and analytical insight delivery.
- Supporting digital and analyticsled finance initiatives.
- Experience in multistakeholder or multicountry environments preferred.
Required Experience:
Manager
About Company
We bring together business and technology solutions to help organisations transform finance and FP&A, supporting it to become a driver of value creation.