We are looking for a Group FP&A Manager to join AMFRESH on a 6 month contract, supporting key Group Finance reporting, planning and cash flow activity.
This is a central coordination role, working across business units to ensure financial information is accurate, consistent and ready for senior leadership, Executive and Board reporting.
You will be responsible for:
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Coordinating the Group finance calendar across month-end, weekly reporting, forecasting, budgeting, Board cycles and cash flow
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Supporting weekly and monthly Group reporting packs, forecast updates, budgets and Executive/Board materials
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Reviewing business unit submissions, challenging inputs and improving the quality of commentary
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Owning Group direct cash flow reporting, including actuals and forecasts
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Providing visibility of cash performance, movements, risks and assumptions
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Acting as the central point of contact between Group and divisional finance teams
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Driving accountability for deadlines, reporting quality and process improvements