FP&A Contractor

Discipline: Finance & Strategy
Job type: Contract
Contact email: sonny@weareedenbrook.com
Job ref: J5693
Published: about 7 hours ago
This role plays a key part in strengthening financial performance reporting and enhancing transparency across a fast-scaling, multi-entity insurance group. You will work closely with the CFO, Commercial Finance, and cross-functional leaders to improve management reporting, budgeting, and forecasting frameworks. This is a hands-on interim position focused on rebuilding and enhancing core reporting structures, delivering clear insight to senior stakeholders, and supporting short- to medium-term financial objectives during a period of growth and transformation. Key Responsibilities • Lead the redevelopment and enhancement of management reporting frameworks to improve visibility of business performance at profit and cost centre level. • Build and deliver a detailed reporting suite for senior finance leadership, including reconciliations, cost insights, project tracking, net working capital, cashflow, and KPI metrics. • Prepare timely and accurate management information to support executive decision-making. • Support budgeting and forecasting processes across the group. • Enhance reporting structures across central group functions, including technology and operations. • Provide recommendations to improve processes, reporting transparency, and data integrity. • Deliver best practice reporting across capital management, financing, net working capital, and investment return metrics. • Partner cross-functionally to ensure reporting outputs align with business needs and strategic priorities. • Support project management activities relating to finance reporting improvements and system enhancements. • Maintain accountability for end-to-end delivery of high-quality reporting outputs. Core Skills and Experience • Professionally qualified accountant (ACA, ACCA, CIMA, or equivalent) or qualified by experience. • Extensive experience building and enhancing management reporting frameworks at senior or Board level. • Strong understanding of P&L, balance sheet, and cashflow reporting requirements. • Proven experience delivering reporting on capital, financing, working capital, group functions, and investment performance. • Experience operating within high-growth or transformation-driven environments. • Strong stakeholder management skills, with demonstrable experience influencing senior leadership. • Ability to work cross-functionally to deliver commercially relevant insight. • Advanced reporting and financial modelling capability; experience with planning and reporting systems is advantageous. • Exposure to business partnering with technology or operational functions is desirable. • Highly diligent, accountable, and comfortable operating in a hands-on interim capacity.