As an FP&A Analyst, you will play a critical role in driving financial clarity, forecasting accuracy, and performance visibility across the business. Reporting to the Director of FP&A and Business Intelligence, you will partner closely with Finance and functional leaders to support disciplined decision-making in a fast-paced, private equity–backed SaaS environment.
This is a highly visible, hands-on role requiring strong analytical rigor, commercial acumen, and an ownership mindset. You will operate in a lean, high-expectation environment where balancing accuracy with pace is essential.
You will have direct exposure to senior stakeholders and the opportunity to materially influence EBITDA performance, cash discipline, and the company’s growth trajectory.
Interested candidates must live in the UK (London or Chichester) and be able to work for any UK employer without sponsorship
Responsibilities
- Own and support the monthly rolling forecast process, incorporating actuals and functional inputs
- Maintain and enhance financial models (P&L, Balance Sheet, Cash Flow)
- Track actuals vs. budget and forecast across all business functions
- Support the annual budgeting and long-range planning processes
- Maintain and evolve the headcount planning model
- Lead the 13-week cash flow forecast and variance analysis process
- Prepare monthly management reporting, Board, and Lender reporting packs
- Ensure alignment between financial performance and operational KPIs
- Deliver clear, concise commentary explaining performance trends and deviations
- Improve reporting automation and data integrity
- Identify gaps in reporting processes and drive continuous improvement initiatives
