The FP&A Analyst is a commercially minded finance professional responsible for financial planning budgeting forecasting and performance analysis across the business. This role provides high-quality financial insights to support management decision-making working closely with the Financial Controller Head of Finance and senior stakeholders to translate financial data into actionable insights that drive growth profitability and cash flow management in a fast-paced multi-jurisdictional environment.
Key Responsibilities:
Financial Planning and Forecasting
Support the preparation of annual budgets rolling forecasts and long-range financial plans (including 5-year business plan)
Maintain and enhance financial models to assess business performance growth initiatives and cost efficiency
Track actual performance against budget and forecast identifying risks and opportunities
Provide variance analysis and commentary to support strategic planning decisions
Management Reporting and Analysis
Prepare monthly performance packs including:
Revenue and margin analysis
Cost base analysis (headcount commissions overheads)
EBITDA and cash flow drivers
Perform detailed variance analysis and provide clear explanations for movements versus budget and prior periods
Support ad-hoc financial analysis requests from senior management
Develop and maintain management reporting dashboards and templates
Commercial and Business Partnering
Act as a finance business partner to operational teams providing financial insight to support decision-making
Analyse supplier agreements commission structures and profitability by product type client or region
Support commercial evaluations and business case development for new initiatives
Provide financial perspective on operational decisions and strategic priorities
Cash Flow and Working Capital Management
Assist with cash flow forecasting including short-term liquidity planning
Monitor key working capital and financial metrics including receivables payables commission timing EBITDA to cash conversion and net debt ratio
Highlight potential cash risks and support mitigation planning
Support working capital optimization initiatives
Data Systems and Process Improvements
Improve financial models reporting templates and dashboards to increase automation and insight
Work closely with the Head of Finance to enhance financial reporting tools data quality and reporting insights
Support implementation and optimization of finance systems (e.g. Sage Intacct Power BI Excel models)
Identify and implement process improvements to enhance efficiency and accuracy
Maintain data integrity and quality across all financial reporting systems
Stakeholder Support and Communication
Prepare clear and concise financial commentary suitable for non-finance stakeholders
Support senior leadership with board-level analysis and presentation materials as needed
Translate complex financial information into accessible insights for diverse audiences
Build strong working relationships across departments to support effective business partnering
Candidate Profile:
Experience and Qualification
Part-qualified or qualified accountant (ACA ACCA CIMA or equivalent); or
Strong FP&A experience with demonstrated intent to pursue professional qualification
Bachelors degree in Finance Accounting Economics or related field
Minimum 2-4 years of progressive finance experience preferably in FP&A or management accounting
Experience working in a fast-growing dynamic organization with changing priorities
Prior FP&A experience in a multi-entity or international environment (desirable)
Experience with commission-based revenue models (desirable)
Key Skills and Competencies
Advanced Excel and financial modeling capabilities with strong analytical and data interpretation skills
Commercial acumen and ability to provide pragmatic business-focused financial advice
Excellent communication skills with ability to present complex financial information clearly to non-finance stakeholders
Strong attention to detail and accuracy with ability to meet tight deadlines in fast-paced environment
Proactive self-motivated approach with ability to manage multiple priorities and work independently
Collaborative team player with strong stakeholder management and relationship-building abilities
Proficiency in financial systems (Sage Intacct or similar) and reporting tools (Power BI desirable)
High level of integrity professional ethics and discretion in handling confidential information
Job Title: FP&A Analyst Location: Dubai UAE Reports To: Head of Finance/CFO Employment Type: Full-time Role Summary: The FP&A Analyst is a commercially minded finance professional responsible for financial planning budgeting forecasting and performance analysis across the business. This role provid...
Job Title: FP&A Analyst
Location: Dubai UAE
Reports To: Head of Finance/CFO
Employment Type: Full-time
Role Summary:
The FP&A Analyst is a commercially minded finance professional responsible for financial planning budgeting forecasting and performance analysis across the business. This role provides high-quality financial insights to support management decision-making working closely with the Financial Controller Head of Finance and senior stakeholders to translate financial data into actionable insights that drive growth profitability and cash flow management in a fast-paced multi-jurisdictional environment.
Key Responsibilities:
Financial Planning and Forecasting
Support the preparation of annual budgets rolling forecasts and long-range financial plans (including 5-year business plan)
Maintain and enhance financial models to assess business performance growth initiatives and cost efficiency
Track actual performance against budget and forecast identifying risks and opportunities
Provide variance analysis and commentary to support strategic planning decisions
Management Reporting and Analysis
Prepare monthly performance packs including:
Revenue and margin analysis
Cost base analysis (headcount commissions overheads)
EBITDA and cash flow drivers
Perform detailed variance analysis and provide clear explanations for movements versus budget and prior periods
Support ad-hoc financial analysis requests from senior management
Develop and maintain management reporting dashboards and templates
Commercial and Business Partnering
Act as a finance business partner to operational teams providing financial insight to support decision-making
Analyse supplier agreements commission structures and profitability by product type client or region
Support commercial evaluations and business case development for new initiatives
Provide financial perspective on operational decisions and strategic priorities
Cash Flow and Working Capital Management
Assist with cash flow forecasting including short-term liquidity planning
Monitor key working capital and financial metrics including receivables payables commission timing EBITDA to cash conversion and net debt ratio
Highlight potential cash risks and support mitigation planning
Support working capital optimization initiatives
Data Systems and Process Improvements
Improve financial models reporting templates and dashboards to increase automation and insight
Work closely with the Head of Finance to enhance financial reporting tools data quality and reporting insights
Support implementation and optimization of finance systems (e.g. Sage Intacct Power BI Excel models)
Identify and implement process improvements to enhance efficiency and accuracy
Maintain data integrity and quality across all financial reporting systems
Stakeholder Support and Communication
Prepare clear and concise financial commentary suitable for non-finance stakeholders
Support senior leadership with board-level analysis and presentation materials as needed
Translate complex financial information into accessible insights for diverse audiences
Build strong working relationships across departments to support effective business partnering
Candidate Profile:
Experience and Qualification
Part-qualified or qualified accountant (ACA ACCA CIMA or equivalent); or
Strong FP&A experience with demonstrated intent to pursue professional qualification
Bachelors degree in Finance Accounting Economics or related field
Minimum 2-4 years of progressive finance experience preferably in FP&A or management accounting
Experience working in a fast-growing dynamic organization with changing priorities
Prior FP&A experience in a multi-entity or international environment (desirable)
Experience with commission-based revenue models (desirable)
Key Skills and Competencies
Advanced Excel and financial modeling capabilities with strong analytical and data interpretation skills
Commercial acumen and ability to provide pragmatic business-focused financial advice
Excellent communication skills with ability to present complex financial information clearly to non-finance stakeholders
Strong attention to detail and accuracy with ability to meet tight deadlines in fast-paced environment
Proactive self-motivated approach with ability to manage multiple priorities and work independently
Collaborative team player with strong stakeholder management and relationship-building abilities
Proficiency in financial systems (Sage Intacct or similar) and reporting tools (Power BI desirable)
High level of integrity professional ethics and discretion in handling confidential information