Financial Planning & Analysis (FP&A) Manager (for Commercial) at SGS
Makati, Metro Manila, Philippines -
Full Time


Start Date

Immediate

Expiry Date

22 Jun, 26

Salary

0.0

Posted On

24 Mar, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Business Partnering, Forecasting, Annual Budgeting, Medium-Term Planning, Financial Analysis, Capital Expenditure Review, Cost Control, Financial Reporting, Financial Modeling, Variance Analysis, Cost Saving Identification, Stakeholder Presentation, Financial Diagnosis, Corporate Finance, Problem-Solving, Communication

Industry

Professional Services

Description
Company Description We are SGS – the world’s leading testing, inspection and certification company. We are recognized as the global benchmark for quality and integrity. Our 93,000 employees operate a network of 2,600 offices and laboratories, working together to enable a better, safer and more interconnected world. Job Description Reporting Line Business Controller Primary Responsibilities Business partnering Forecasting, Annual Budget & Medium-term planning Financial Analysis Capital Expenditure Review and Post Review Analysis Cost Control Financial Reporting Lead and manage the annual budget process – revenue, direct/indirect/sales & marketing costs, support overheads, capital expenditures, headcount, and allocation drivers. Monitor and update forecasts regularly to reflect changes in business conditions and provide actionable insights. Develop and maintain financials models and reports to support forecasting and budgeting process. Track sales and spending to ensure alignment with targets and report variances with clear and concise commentaries and recommendations to senior management. Prepare and present financial information to stakeholders highlighting key variances and providing recommendations. Analyze cost structures and identify opportunities for cost-saving to improve profitability. Track and manage both direct/indirect costs, sales & marketing costs, support overheads. Review purchase requisitions and challenge any spending that is not align with target margin. Review viability and reasonableness of cost savings projects by various departments. Review of proposed capital expenditures and perform post review analysis. Work closely with local finance and finance shared services center team to ensure accurate recording of financial transactions. Act as business partner to various departments – Business, Operations, Commercial & Support Overheads Prepare ad-hoc financial reporting and analysis – P&L simulation & scenarios. Work closely with commercial team to review a reasonable sales pricing model. Foster a collaborative and high-performing team environment. Integrity and Compliance At all times, comply with SGS Code of Integrity and Professional Conduct Qualifications Bachelor’s Degree in Accounting Must be a Certified Public Accountant Minimum 5 years of experience in Financial Planning and Analysis and Budget Management or Financial Reporting Exposure in business partnering with senior management and stakeholders High work ethic and integrity Assertive, Self-driven and Independent in a fast-paced environment Amenable to Hybrid set-up – 3x per week onsite Additional Information Strong analytical skills to interpret complex financial data and give strategic advice based on these analyses. Advanced knowledge of financial forecasting and diagnosis, corporate finance and information analysis Proficient in spreadsheets, databases, MS Office and financial software applications Outstanding presentation skills with ability to present financial data to non-financial colleagues, stakeholders, and executive leadership. Excellent organization skills to manage multiple projects simultaneously while meeting deadlines. Exceptional problem-solving skills to identify potential issues and implement effective solution. Highly developed communication skills to interact effectively with colleagues, senior management, and stakeholders.
Responsibilities
The manager will lead the annual budget process, monitor forecasts, develop financial models, and track spending against targets, providing actionable insights and recommendations to senior management. Key duties include cost structure analysis, capital expenditure review, and acting as a business partner to Commercial and Support functions.
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