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An established industry player is looking for a dynamic Commercial Financial Planning & Analysis Manager specializing in cash flow management. This exciting role involves overseeing cash management, enhancing forecasting accuracy, and collaborating with various departments to drive financial performance and operational efficiency. You will play a pivotal role in shaping the finance function while ensuring strategic growth and stability. If you are a financial expert with a passion for cash flow optimisation and possess strong analytical skills, this is the perfect opportunity for you to make a significant impact in a fast-paced environment.
Salary: Up to £80,000 per annum
Working Pattern: Hybrid – 3 Days A Week in Office
Location: Reading, UK
Are you a financial expert with a passion for cash flow management and working capital optimisation? Our client is seeking a Commercial FP&A Manager: Cash Flow Subject Matter Expert to join their dynamic finance team. Reporting to the Head of FP&A, you will play a key role in overseeing cash management, working capital, and supporting specialist projects, ensuring financial stability and strategic growth.
Key Responsibilities:
Required Experience & Skills:
Personal Attributes:
If you’re ready to take on this exciting challenge as a Commercial Financial Planning & Analysis Manager: Cash Flow SME, apply today!
Mid-Senior level
Full-time
Accounting/Auditing and Finance
Staffing and Recruiting, Financial Services, and Accounting