We are looking for an experienced and driven Senior FP&A Manager to become a part our Client's team. The manager will be responsible for overseeing key functions, including strategic planning, budgeting, forecasting, and performance reporting. The role will also play a pivotal role in supporting organizational decision-making, with a particular emphasis on cash flow analysis, reporting, and optimization.
- Financial Planning & Forecasting: Lead budgeting, forecasting, and five-year planning for Balance Sheet, Cash Flow, and Capex, enhancing the Group's cash position in collaboration with FP&A, Treasury, and Reporting teams.
- Reporting & Insights: Oversee month-end account consolidation, deliver clear business insights, and provide reports to senior leadership.
- Strategic Analysis: Develop financial dashboards and models for data-driven decisions, focusing on cash flow and working capital optimization.
- Performance & KPIs: Analyze financial KPIs with Treasury, offering strategic insights to leadership.
- Collaboration & Systems: Work cross-functionally to align financial goals and drive system and process improvements for efficiency.
- Qualified accountant (ACA, CIMA, ACCA) or equivalent with a degree in finance, accounting, or related field.
- 7+ years of experience in FP&A or Commercial Finance, ideally within multi-site or multi-currency environments.
- Proven ability to engage with senior stakeholders and executives confidently.
- Strong financial analysis, modelling, and technical accounting skills.
- Experience in Retail or FMCG sectors is a plus.
- Leadership skills with experience in managing teams and driving results.
- Remote position, requiring up to 3 days in the office per month (Poznań)
- Corporate products and services at discounted prices
- Flexible working time
- Meal subsidies
- Private medical care
- Group insurance
- Annual bonus
- Cafeteria Plan