Shift: US Shift 5:30 PM to 2:30 AM
Role OverviewWe are looking for experienced FP&A; professionals to join a high-performing finance team. The role will be responsible for financial planning, budgeting, forecasting, P&L; management, working capital, cash flow forecasting and business partnering.
Key Responsibilities
- Own and manage P&L; reporting, analysis and financial performance for the assigned business/function.
- Drive financial planning, budgeting and forecasting activities.
- Prepare and manage Annual Operating Plans (AOP) and periodic forecasts.
- Conduct variance analysis against budget, forecast and actual performance.
- Provide actionable insights to business leaders to support financial decision-making.
- Partner with cross-functional stakeholders to understand business drivers and financial performance.
- Drive working capital management and identify opportunities for improvement.
- Prepare and manage cash flow forecasts and liquidity-related analysis.
- Support Zero-Based Budgeting (ZBB) initiatives where applicable.
- geographies.