We are seeking an experienced FP&A Manager to join a leading hedge fund and play a key role in driving financial planning, budgeting, forecasting and strategic decision-making across the business. Reporting directly to senior finance leadership, you will partner with investment, operations and executive stakeholders to deliver insightful analysis and support the firm's continued growth.
Key Responsibilities
* Lead the annual budgeting, forecasting and long‐range planning processes across the business.
* Develop and maintain robust financial models to support strategic initiatives, headcount planning, fund launches and business expansion.
* Own and enhance the firm's FP&A reporting framework, providing meaningful insights into financial performance and key business drivers.
* Partner with senior management and department heads to analyse variances, identify risks and opportunities, and support decision‐making.
* Prepare monthly, quarterly and annual management reporting packs for executive leadership.
* Drive continuous improvement across planning, reporting and forecasting processes through automation and system enhancements.
* Act as the subject matter expert for Anaplan, including model development, maintenance, optimisation and user support.
* Work closely with Finance, Operations, Technology and Investor Relations teams to ensure consistency and integrity of financial data.
* Support business case development, investment analysis and strategic projects.
* Monitor operating expenses, compensation costs and profitability metrics across the organisation.
* Assist with board presentations, investor reporting and ad‐hoc financial analysis as required.
Skills & Experience
* Bachelor's degree in Finance, Accounting, Economics or a related discipline.
* CA, CPA, CFA or equivalent professional qualification preferred.
* 5+ years' experience in FP&A, commercial finance or strategic finance roles, ideally within asset management, hedge funds, private markets, investment banking or financial services.
* Demonstrated hands‐on experience with Anaplan is essential.
* Strong financial modelling, budgeting and forecasting experience.
* Advanced Excel skills and experience working with large, complex datasets.
* Proven ability to partner with senior stakeholders and communicate financial information effectively.
* Strong analytical, problem‐solving and commercial acumen.
* Experience working in a fast‐paced, high‐performance investment environment is highly desirable.
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