Job Summary
A company is looking for a Senior FP&A professional.
Key Responsibilities
- Lead financial forecasting, cash flow modeling, and long-term planning
- Create dynamic models for debt strategy, capital allocation, and profitability scenarios
- Deliver board-ready analysis supporting business cases, growth planning, and M&A evaluation
Required Qualifications
- 7+ years of experience in FP&A, corporate finance, investment banking, or strategic finance
- Deep understanding of financial statements and business modeling fundamentals
- Proven experience in forecasting cash flow, debt structures, and EBITDA performance
- Experience in a PE-backed business or services/consulting environment is a bonus
- Exposure to board reporting, exit planning, or M&A support is a bonus
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