What you'll get to do...
- Take ownership in consolidating our annual budget, as well as rolling forecasts across the product, region, and operation teams
- Work alongside the business unit FP&A teams to compile and analyse the consolidated budgets, forecasts and multiyear outlooks
- Drive accountability for financial business results to budget and forecast
- Responsible for budgeting and leading corporate overhead costs including human capital management
- Analyse current and past trends, focusing on our key financial metrics, the P&L and capital expenditures providing actionable insight into our financial performance
- Perform ad-hoc analysis on an as-needed basis to support key financial decisions for the organisation
- Track record in understanding where to find pockets of operational value coupled with the ability to inspire changes vital to build value
- We love to have fun at work, so bring your social and multi-tasking skills (with attention to detail), a sense of humour along with personal accountability, and vitality for achieving results
Your experience should include...
- At least 5+ years validated experience in budgeting, reporting, and financial analysis in a group FP&A function with an international footprint
- Sophisticated Microsoft Excel and PowerPoint skills required and experience with WorkDay
- A strong collaborator, used to working with multiple global partners to provide financial insights and develop ongoing robust key relationships
- Comfortable with risk and ambiguity
You might also have...
- Bachelor's or master’s in accounting, finance or commerce with either a CIMA, CPA, ACCA, ICAI qualification
- Cloud ERP system would be a plus
- Experience in a global SaaS business