Allgemeine Projektdaten

Position

Head of Financial Planning and Analysis/Controlling (m/f/d) ad interim

Tagessatz

nach Vereinbarung

Spesen

zzgl. Spesen

Laufzeit

ab sofort

Einsatzland

Deutschland

Einsatzort

nicht veröffentlicht

Erfdl. Verfügbarkeit

100 %

Branche

Textilien & Mode

Funktion

Finanzen & Controlling

Leistung

Operative Vakanz

Aufgaben & Ziele

Aufgabenstellung

Our client, a major e-commerce retailer, requires the Head of Strategic Financial Planning and Analysis/Controlling (m/f/d) ad interim, with the option for a permanent engagement.

Acting as “the right hand of the CFO”, the Head of FP&A (m/f/d) ensures that top management sees the “forest from the trees” in financial terms, introducing a holistic capital market view on the company’s business plan and its performance. He or she will introduce and run the internal processes necessary to set performance goals, budgets and accountabilities and monitor achievement on a regular basis, interacting with stakeholders on all seniority levels as required.


Key challenges & responsibilities:

  • Further develop integrated financial business model to model, track and plan the company business plan (P&L, Cashflow, Balance Sheet)
  • Revenue forecasting, liquidity planning
  • Continuously translate company strategy and business model into a financial business plan in collaboration with top management and track its execution across time
  • Own and moderate the company’s financial steering processes (budgeting, forecasting, monthly management reporting) and develop steering instruments suitable to the needs of a fast-paced, highly agile business environment (forecasting tools, scenario modelling, etc.)
  • Actively monitor and manage the company’s liquidity position together with the CFO and support capital market measures with required analyses
  • Develop and proliferate revenue driver models with strong linkage to non-financial KPIs and drivers in collaboration with the Business Intelligence team
  • Actively identify and highlight opportunities for value generation based on an outside-in capital market perspective
  • Establish yourself and the team as a thought partner for the strategic management of the group and provide respective managers with financial analysis tools to support their business decision needs


 


Personalverantwortung

keine Angaben

Budgetverantwortung

keine Angaben

Anforderungen & Kenntnisse

Anforderungen

  • Comprehensive finance knowledge both from an P&L, Cashflow and Balance Sheet perspective
  • In depth experience in modelling as well as working with integrated financial planning methods
  • Ability to define and moderate a recurring budgeting and performance management process in the company and implement the required instruments and tools to run it

Sprachkenntnisse

Englisch
verhandlungssicher
Deutsch
verhandlungssicher