Financial Planning & Analysis (FP&A)

at  BT6 Resourcing

Aylesbury HP20 1US, , United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate29 Dec, 2024Not Specified01 Oct, 2024N/AGood communication skillsNoNo
Add to Wishlist Apply All Jobs
Required Visa Status:
CitizenGC
US CitizenStudent Visa
H1BCPT
OPTH4 Spouse of H1B
GC Green Card
Employment Type:
Full TimePart Time
PermanentIndependent - 1099
Contract – W2C2H Independent
C2H W2Contract – Corp 2 Corp
Contract to Hire – Corp 2 Corp

Description:

Role Overview: The FP&A (Financial Planning & Analysis) position serves as a pivotal leadership role within the Finance Department. Based primarily at the Aylesbury office, with the option for hybrid working (two days from home), this role reports directly to the Chief Financial Officer (CFO).
The successful candidate will support and, when needed, deputize for the CFO, and will have significant interaction with department heads and senior staff across the business. This role requires strong leadership, the ability to manage a team, and the capacity to work independently. The ability to prioritize, handle multiple projects simultaneously, and meet deadlines under pressure is crucial. Execution of deliverables with exceptional communication and attention to detail, alongside the ability to influence key stakeholders, will be essential to success.
This is a new role, providing an excellent opportunity to shape your responsibilities and make a tangible impact on a growing SaaS-focused SME.

Responsibilities:

  • Support the CFO in managing financial functions across all entities.
  • Provide proactive management accounting information and support strategic decision-making and risk management processes.
  • Advise the Executive Board on potential risks and opportunities.
  • Produce timely month-end management accounts and review reports with stakeholders, adhering to agreed timelines.
  • Assist the management team in preparing financial and business plans.
  • Regularly update the financial plan, annual budget, and internal weekly planning and reporting.
  • Oversee working capital management, credit control, and treasury functions.
  • Collaborate with the Data Analyst to ensure accurate daily, weekly, and monthly analysis, and recommend improvements to PowerBI reporting.
  • Assist with the preparation of statutory year-end accounts and notes for audit purposes.
  • Manage annual tax compliance and returns; liaise with auditors and assist with tax computations.
  • Participate in cross-functional and group project work, ensuring accounting and tax compliance.
  • Prepare deliverables to support internal and external financial reporting, including analytical commentary and supplementary financial analysis.
  • Streamline and automate processes to meet evolving business needs, identifying inefficiencies and implementing improvements.
  • Stay current with changes in financial regulations and legislation.
  • Establish and maintain company financial policies and procedures.
  • Utilize technology effectively to enhance business and financial functions.
  • Line-manage two team members (credit control and bookkeeping), including process improvement, team development, and management of absence and annual leave.
  • Contribute to the broader development of the Finance Department alongside the CFO.


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Proficient

1

Aylesbury HP20 1US, United Kingdom