FP&A Manager
ABOUT US
STRIVE is a Vancouver-based recruitment firm offering recruitment solutions in the specialist areas of Accounting & Finance, Corporate Administration, and Operations & Manufacturing. We are passionate about recruitment at STRIVE and commit to offering an upfront, genuine, and consultative approach to everything we do — which is a big reason why we have been successful.
THE ROLE: Manager, Financial Planning and Analysis (FP&A)
STRIVE are partnering with one of the largest publicly traded companies in BC, with operations across Canada and the US. They are seeking a Manager, Financial Planning and Analysis (FP&A) to join their dynamic corporate finance team at their head office in Richmond, BC. This role is ideal for a motivated individual ready to drive strategic decision-making and enhance financial planning processes through leveraging technology such as CPM software.
WHY JOIN?
This is an opportunity to play a pivotal role in a highly regarded organization with a collaborative culture. You’ll lead critical financial initiatives and work closely with a talented senior management team, contributing directly to the company’s strategic goals. With a focus on innovation, growth, and excellence, this position offers professional challenges and rewards in equal measure.
RESPONSIBILITIES
– Actively participate in business review processes and prepare insightful financial analyses for the senior management team by collaborating with various business units.
– Develop and maintain key performance indicators (KPIs) to manage financial performance effectively at both individual business and consolidated levels.
– Review the company’s consolidated quarterly and annual results, preparing management reports for senior management, the Board of Directors, and other stakeholders.
– Lead the annual budgeting and quarterly forecasting processes, including P&L, CapEx, balance sheet, and cash flow, and assist in creating budget presentations.
– Support the evaluation of capital projects by preparing financial modeling and analyses to guide decision-making.
– Analyze consolidated working capital performance against targets and assist in cash management strategies.
– Facilitate the onboarding of newly acquired businesses by implementing corporate reporting requirements.
– Build effective relationships with business units to understand operations, key drivers, and enhance visibility and depth of analysis.
– Collaborate with corporate teams to support cross-functional initiatives, including acquisitions and treasury projects.
– Continuously improve management reporting and analytics in areas such as working capital management, cash flow modeling, IRR modeling, and synergistic opportunity analysis.
– Leverage OneStream to enhance financial reporting, planning, and budgeting processes, as well as senior management presentations.
SKILLS & EXPERIENCE
We are seeking a dynamic professional who thrives in a fast-paced corporate environment and demonstrates a passion for finance and strategy. Key qualifications include:
– CPA designation with 8 to 10 years of relevant work experience.
– Advanced Excel skills (e.g., lookups, pivot tables) for managing large datasets.
– A proactive and strategic thinker with a forward-looking approach to problem-solving.
– Strong analytical, presentation, and written communication skills.
– Ability to work independently while contributing effectively to a team environment.
– Detail-oriented with a curious mindset and a determination to resolve complex challenges.
– A track record of introducing innovative ideas and championing best practices to enhance organizational effectiveness.
– Experience with IFRS and system implementation is an asset.
– High ethical standards and a commitment to continuous learning and professional development.
How to Apply
If you are ready to take on this exciting opportunity and make an impact in a thriving organization, we would love to hear from you! Apply now to join a leading team and elevate your career in financial planning and analysis.
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