Job Description
Position Summary
Seeking a dynamic FP&A Manager to join us and play a crucial role in driving the financial performance of PlaySimple. In this position, you will be responsible for overseeing budgeting, forecasting, and financial analysis, ensuring that we make informed financial decisions. This role requires a proactive individual with a solid understanding of financial modeling and business operations.
You will collaborate with various teams to assess financial performance, identify trends, and recommend actions to enhance profitability. If you are a results-oriented finance professional with exceptional analytical skills, we would love to hear from you!
Requirements
Key Responsibilities
- Develop, manage, and monitor budgets and forecasts to support financial planning
- Prepare long-term and short-term business and financial plans for the company and if and when needed, financial plans for evaluation of new businesses
- Conduct in-depth financial analysis and modeling to provide insights on business performance
- Collaborate with cross-functional teams to drive financial results and enhance operational efficiency
- Identify and mitigate financial risks through careful analysis and strategic recommendations
- Prepare regular financial reports and presentations for stakeholders to communicate performance against targets
- Support decision-making by providing actionable financial insights
- Support development of financial strategies aligned with the organization's goals
Required Qualifications
Qualified Chartered Accountant (not more than 3 attempts) or MBA (Finance) from a top Institute6+ years of experience in Finance with at least 3 years in FP&A or Business finance rolesStrong proficiency in financial modeling and analysisExcellent analytical and problem-solving skills, with a keen attention to detailDemonstrated ability to communicate complex financial concepts to non-financial stakeholdersExperience with budgeting, forecasting, and financial reportingAbility to work collaboratively in a fast-paced environment and manage multiple projects simultaneouslyRequirements
Key Responsibilities
Develop, manage, and monitor budgets and forecasts to support financial planningPrepare long-term and short-term business and financial plans for the company and if and when needed, financial plans for evaluation of new businessesConduct in-depth financial analysis and modeling to provide insights on business performanceCollaborate with cross-functional teams to drive financial results and enhance operational efficiencyIdentify and mitigate financial risks through careful analysis and strategic recommendationsPrepare regular financial reports and presentations for stakeholders to communicate performance against targetsSupport decision-making by providing actionable financial insightsSupport development of financial strategies aligned with the organization's goals Required QualificationsQualified Chartered Accountant (not more than 3 attempts) or MBA (Finance) from a top Institute6+ years of experience in Finance with at least 3 years in FP&A or Business finance rolesStrong proficiency in financial modeling and analysisExcellent analytical and problem-solving skills, with a keen attention to detailDemonstrated ability to communicate complex financial concepts to non-financial stakeholdersExperience with budgeting, forecasting, and financial reportingAbility to work collaboratively in a fast-paced environment and manage multiple projects simultaneously