The FP&A Director is a high-impact leadership role responsible for steering the organizations financial strategy through sophisticated planning analysis and performance management. This role serves as a critical bridge between finance and business operations translating complex data into actionable insights that drive profitability and long-term growth.
The ideal candidate is a proactive commercially-minded leader who excels at storytelling through data. You will move beyond reporting to provide forward-looking guidance overseeing the annual operating plan rolling forecasts and strategic capital allocation while acting as a trusted advisor to the CFO and executive leadership.
Key Responsibilities
1. Strategic Planning & Forecasting
Lead the Annual Operating Plan (AOP): Drive the integrated global planning process ensuring alignment between departmental budgets and corporate strategic goals.
Rolling Forecasts: Design and maintain dynamic rolling forecast models that allow the business to pivot quickly in response to market volatility.
Scenario Modeling: Develop What-If simulations and sensitivity analyses to evaluate the impact of pricing changes market shifts or new product launches.
Long-Range Planning: Support the 35 year strategic roadmap by modeling capital requirements and long-term revenue trajectories.
2. Commercial Finance & Business Partnering
Cross-Functional Liaison: Partner with Sales Marketing and Operations to track KPIs analyze ROI on marketing spend and optimize sales incentive plans.
Profitability Analysis: Conduct deep-dive analyses into product customer and channel margins to identify leakage and growth opportunities.
Operational Insight: Translate financial outcomes into operational narratives helping non-finance heads understand the financial levers of their departments.
3. Performance Management & BI Reporting
Management Reporting: Deliver high-quality monthly business review (MBR) packages that highlight variances trends and risks/opportunities (R&O).
Dashboarding: Lead the implementation and enhancement of BI tools (e.g. Tableau Power BI) to automate reporting and provide real-time visibility into performance.
Variance Analysis: Provide rigorous commentary on actuals vs. budget identifying root causes for underperformance and recommending corrective actions.
4. Capital Allocation & Strategic Finance
Investment Appraisal: Evaluate CAPEX proposals using DCF NPV and IRR methodologies to ensure optimal deployment of company resources.
M&A Support: Provide financial modeling for potential acquisitions conduct due diligence and assist in post-merger integration (PMI) tracking.
Cash Flow Optimization: Partner with the Treasury and Controller functions to project free cash flow and manage working capital efficiency.
5. Team Leadership & Digital Transformation
Mentorship: Lead and upskill the FP&A team transitioning them from data aggregators to strategic advisors.
Process Improvement: Streamline the planning cycle by implementing advanced EPM (Enterprise Performance Management) software and eliminating manual Excel dependencies.
Best Practices: Establish standardized financial frameworks and definitions across the organization to ensure a single version of the truth.
Qualifications & Requirements
Education: Bachelors Degree in Finance Economics or Accounting.
Professional Certification: CIMA CFA or CPA/ACCA with a strong commercial focus.
Experience: Minimum 1012 years of progressive experience with at least 5 years specifically in FP&A or Commercial Finance leadership.
Power user of EPM tools (e.g. Anaplan Adaptive Insights Hyperion) and BI software.
Advanced Excel and PowerPoint skills for executive presentations.
Soft Skills: Exceptional communication skillsability to challenge senior stakeholders diplomatically and present complex financial data simply to non-finance audiences.
The FP&A Director is a high-impact leadership role responsible for steering the organizations financial strategy through sophisticated planning analysis and performance management. This role serves as a critical bridge between finance and business operations translating complex data into actionable ...
The FP&A Director is a high-impact leadership role responsible for steering the organizations financial strategy through sophisticated planning analysis and performance management. This role serves as a critical bridge between finance and business operations translating complex data into actionable insights that drive profitability and long-term growth.
The ideal candidate is a proactive commercially-minded leader who excels at storytelling through data. You will move beyond reporting to provide forward-looking guidance overseeing the annual operating plan rolling forecasts and strategic capital allocation while acting as a trusted advisor to the CFO and executive leadership.
Key Responsibilities
1. Strategic Planning & Forecasting
Lead the Annual Operating Plan (AOP): Drive the integrated global planning process ensuring alignment between departmental budgets and corporate strategic goals.
Rolling Forecasts: Design and maintain dynamic rolling forecast models that allow the business to pivot quickly in response to market volatility.
Scenario Modeling: Develop What-If simulations and sensitivity analyses to evaluate the impact of pricing changes market shifts or new product launches.
Long-Range Planning: Support the 35 year strategic roadmap by modeling capital requirements and long-term revenue trajectories.
2. Commercial Finance & Business Partnering
Cross-Functional Liaison: Partner with Sales Marketing and Operations to track KPIs analyze ROI on marketing spend and optimize sales incentive plans.
Profitability Analysis: Conduct deep-dive analyses into product customer and channel margins to identify leakage and growth opportunities.
Operational Insight: Translate financial outcomes into operational narratives helping non-finance heads understand the financial levers of their departments.
3. Performance Management & BI Reporting
Management Reporting: Deliver high-quality monthly business review (MBR) packages that highlight variances trends and risks/opportunities (R&O).
Dashboarding: Lead the implementation and enhancement of BI tools (e.g. Tableau Power BI) to automate reporting and provide real-time visibility into performance.
Variance Analysis: Provide rigorous commentary on actuals vs. budget identifying root causes for underperformance and recommending corrective actions.
4. Capital Allocation & Strategic Finance
Investment Appraisal: Evaluate CAPEX proposals using DCF NPV and IRR methodologies to ensure optimal deployment of company resources.
M&A Support: Provide financial modeling for potential acquisitions conduct due diligence and assist in post-merger integration (PMI) tracking.
Cash Flow Optimization: Partner with the Treasury and Controller functions to project free cash flow and manage working capital efficiency.
5. Team Leadership & Digital Transformation
Mentorship: Lead and upskill the FP&A team transitioning them from data aggregators to strategic advisors.
Process Improvement: Streamline the planning cycle by implementing advanced EPM (Enterprise Performance Management) software and eliminating manual Excel dependencies.
Best Practices: Establish standardized financial frameworks and definitions across the organization to ensure a single version of the truth.
Qualifications & Requirements
Education: Bachelors Degree in Finance Economics or Accounting.
Professional Certification: CIMA CFA or CPA/ACCA with a strong commercial focus.
Experience: Minimum 1012 years of progressive experience with at least 5 years specifically in FP&A or Commercial Finance leadership.
Power user of EPM tools (e.g. Anaplan Adaptive Insights Hyperion) and BI software.
Advanced Excel and PowerPoint skills for executive presentations.
Soft Skills: Exceptional communication skillsability to challenge senior stakeholders diplomatically and present complex financial data simply to non-finance audiences.