Commercial Financial Planning & Analysis Manager: Cash Flow SME

Sanderson Recruitment Plc

Posted on Mar 3, 2025 by Sanderson Recruitment Plc
Reading, Berkshire, United Kingdom
Accountancy
Immediate Start
£70k - £80k Annual
Full-Time

Job Title: Commercial Financial Planning & Analysis Manager: Cash Flow SME
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.

Benefits:

  • Hybrid working
  • Progression opportunities
  • Generous pension
  • Private health insurance

Key Responsibilities:

  • Support the whole finance transformation of the company, helping to build a world-class finance function.
  • Develop and implement group-wide cash flow and working capital frameworks, ensuring alignment with business objectives.
  • Lead cash flow planning, monitoring, and reporting to optimise liquidity and financial performance.
  • Identify and drive opportunities to improve cash conversion and operational efficiency.
  • Deliver accurate, timely cash flow reports and analysis to senior leadership and stakeholders.
  • Enhance forecasting accuracy, scenario analysis, and risk mitigation strategies related to cash flow.
  • Establish a framework for monitoring and reporting key risks and opportunities impacting liquidity.
  • Collaborate with Finance, Treasury, Operations, and Business Units to optimise cash flow performance.
  • Oversee NoRec (special items), ensuring appropriate financial processes and controls.

Required Experience & Skills:

  • Bachelor's degree in Finance, Accounting, or related field.
  • 5+ years of FP&A experience, ideally within a shared services environment.
  • Strong financial planning, forecasting, and modelling skills.
  • Expertise in cash flow management and working capital optimisation.
  • Proficiency with planning and reporting tools; advanced Excel skills essential.
  • Ability to influence and collaborate across departments.

Personal Attributes:

  • Data-driven with strong analytical and problem-solving skills.
  • Effective communicator, able to build relationships across teams.
  • Capable of managing multiple priorities in a fast-paced environment.
  • Inspirational leader who fosters a high-performance culture.

If you're ready to take on this exciting challenge as a Commercial Financial Planning & Analysis Manager: Cash Flow SME, apply today!


Reference: 2907057744

https://jobs.careeraddict.com/post/100902993

This Job Vacancy has Expired!

Sanderson Recruitment Plc

Commercial Financial Planning & Analysis Manager: Cash Flow SME

Sanderson Recruitment Plc

Posted on Mar 3, 2025 by Sanderson Recruitment Plc

Reading, Berkshire, United Kingdom
Accountancy
Immediate Start
£70k - £80k Annual
Full-Time

Job Title: Commercial Financial Planning & Analysis Manager: Cash Flow SME
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.

Benefits:

  • Hybrid working
  • Progression opportunities
  • Generous pension
  • Private health insurance

Key Responsibilities:

  • Support the whole finance transformation of the company, helping to build a world-class finance function.
  • Develop and implement group-wide cash flow and working capital frameworks, ensuring alignment with business objectives.
  • Lead cash flow planning, monitoring, and reporting to optimise liquidity and financial performance.
  • Identify and drive opportunities to improve cash conversion and operational efficiency.
  • Deliver accurate, timely cash flow reports and analysis to senior leadership and stakeholders.
  • Enhance forecasting accuracy, scenario analysis, and risk mitigation strategies related to cash flow.
  • Establish a framework for monitoring and reporting key risks and opportunities impacting liquidity.
  • Collaborate with Finance, Treasury, Operations, and Business Units to optimise cash flow performance.
  • Oversee NoRec (special items), ensuring appropriate financial processes and controls.

Required Experience & Skills:

  • Bachelor's degree in Finance, Accounting, or related field.
  • 5+ years of FP&A experience, ideally within a shared services environment.
  • Strong financial planning, forecasting, and modelling skills.
  • Expertise in cash flow management and working capital optimisation.
  • Proficiency with planning and reporting tools; advanced Excel skills essential.
  • Ability to influence and collaborate across departments.

Personal Attributes:

  • Data-driven with strong analytical and problem-solving skills.
  • Effective communicator, able to build relationships across teams.
  • Capable of managing multiple priorities in a fast-paced environment.
  • Inspirational leader who fosters a high-performance culture.

If you're ready to take on this exciting challenge as a Commercial Financial Planning & Analysis Manager: Cash Flow SME, apply today!

Reference: 2907057744

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