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Vintage Cash Cow logo

Group FP&A Manager

Vintage Cash Cow
Posted 1 weeks ago
🇺🇸United States🏢Hybrid📁Finance
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We’re looking for a commercially minded Group FP&A Manager to join Vintage.com on a 6-month Fixed Term Contract. Reporting to the Head of Finance - Europe, you’ll play a key role in strengthening the Group’s financial planning and analysis capability across both our UK and European operations. You’ll work closely with senior stakeholders across Finance and the wider business to develop financial models, improve reporting, support strategic decision-making and provide insight into business performance. This role offers excellent exposure to senior leadership and provides the opportunity to work on a broad range of strategic initiatives including, forecasting, international expansion, commercial analysis and investor reporting. Key Responsibilities Key Goals & Objectives Build a scalable Group FP&A function to support growth Own robust budgeting, forecasting and long-range planning Improve commercial and country-level reporting and KPI visibility Support strategic decisions through financial modelling and scenario analysis Enhance Board and investor reporting Establish consistent financial processes and planning frameworks across the Group What You’ll Be Doing Lead Group budgeting, forecasting and reforecasting activities Build and maintain integrated three-statement financial models, ensuring key business assumptions are robust, well understood and regularly refined to support decision-making processes Deliver commercial insights and unit economics analysis Produce Board reporting packs, dashboards and KPI analysis Partner with operational, commercial and functional leaders across the UK and Europe Support investment appraisals, business cases and strategic initiatives Support senior finance leadership with external reporting and advisor interactions Improve reporting, forecasting and financial planning processes Drive automation, efficiency and effective use of technology Skills, Knowledge and Expertise Essential Skills & Experience Fully qualified accountant (CIMA, ACCA, ACA or equivalent) Strong FP&A, commercial or strategic finance experience Advanced financial modelling and Excel/Google Sheets skills Experience with budgeting, forecasting and integrated financial models Strong commercial acumen and ability to turn financial data into business insight Excellent stakeholder management and communication skills Highly organised, detail-oriented and solutions-focused Comfortable working in a fast-paced, high-growth environment Desirable Experience in high-growth, scaling businesses Experience in B2C, retail, e-commerce or marketplace environments Experience across multi-entity or international organisations PE/VC-backed experience Experience with funding rounds, due diligence or external advisors Board reporting and KPI framework experience Knowledge of unit economics, cohort analysis and pricing Experience with Xero, FP&A tools or cloud accounting systems Interest in AI and automation

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