The FP&A professional will be responsible for managing cash flow planning and analysis, budgeting, and efficient capital allocation to support the company’s financial health and strategic goals.
Requirements
- 8 to 12 years of relevant experience in financial planning, analysis, and reporting
- Chartered Accountant (CA) or Master of Business Administration (MBA)
- Deep understanding of cash flows and business processes
- Strong modelling and forecasting abilities
- Effective presentation skills for clear communication of financial data
- Passion for accuracy and detail
- Strong collaboration skills with an open-minded approach

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