Permanent Financial Analysis Jobs

1 to 25 of 147 Permanent Financial Analysis Jobs

Senior Manager of Treasury Systems for Derivatives and Hedging

Norwalk, Connecticut, United States
GE Aviation
Serve as advisor and liaison between Corporate Controllers, Treasury, and other system support teams. Job Description Roles and Responsibilities Responsible for operational reporting and analysis of company's derivatives Execute Treasury related activities including but not limited to derivatives, debt hedge accounting, foreign currency, while maintaining a strong internal … Treasury's Monthly/Quarterly Close, guide team on system process design, controls, deliverables, reporting rhythms, reviews etc. Complete special requests from SLT for analysis, research and detailed information including other projects deemed necessary by Treasurer and Corporate Controller. Maintain a strong Controls environment with commitment to lean principles. … Degree in Finance or Accounting Prior Experience in Treasury Controllership with experience in Quantum related to derivative & hedging modules Minimum 10 years of strong financial analysis and/or controllership experience Desired Characteristics Strong financial services experience, and/or treasury experience Strong understanding and prior practical more »
Employment Type: Permanent
Salary: USD Annual
Posted:

Retail Online Finance Business Partner

Banbury, Oxfordshire, South East, United Kingdom
Hybrid / WFH Options
Cameo Consultancy (Recruitment) Limited
the Retail and Online Business Partner, you will play a pivotal role in supporting the retail and online sales directors by providing high-level financial analysis of both existing and potential opportunities. Your responsibilities will include developing and administering monthly forecasts, conducting detailed financial analysis, and … and marketing teams; consolidate data for upload to SAP Analytics Cloud (SAC) Schedule and lead monthly meetings with sales and marketing managers to discuss financial performance Provide detailed profit centre reports and product gross margin analysis Ensure accuracy of daily, weekly, and month-end sales and margin reports … Maintain the consumer growth strategy dashboard and conduct monthly analysis of key performance metrics Manage quarterly, annual rebate provisions and facilitate rebate meetings with the sales team Support production of quarterly and annual commission and bonus reports Oversee the budget process and support business investment requests and appraisals Collaborate more »
Employment Type: Permanent, Work From Home
Salary: £50,000
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Development Manager

Brentwood, Essex, South East, United Kingdom
Vistry Group
team within Vistry East London, at our Brentwood office in Essex. As our Development Manager you will be responsible for managing and ensuring overall financial viability of development is maintained and always controlled. You will support the Regional Development Director and Associate Development Director in the efficient running of … our company values - Integrity, Caring and Quality Forecasting using CP12A & DA system. Coordinating activities and third parties to meet deadlines. Managing planning applications Undertaking financial appraisals Appointing and coordinating external consultants. Experience in an Assistant Development Manager role or similar Strong commercial orientation supported by financial modelling and … and provide initial feasibility appraisals to enable a decision to be made whether to proceed with an offer. Liaise with Land team in completing financial analysis of sites. Complete land acquisition checklists and acquisition approval packs prior to site purchase for approval by Managing Director and Corporate Group. more »
Employment Type: Permanent
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Private Equity Analyst

London Area, United Kingdom
Tech Mahindra
can support our business teams with the right amount of Market research and analysis. Interested candidates please share your profiles. Job Description: 1. Investment Analysis: Conduct comprehensive financial analysis, including due diligence, financial modelling, and valuation assessments, to evaluate potential investment opportunities. Assess the attractiveness and … Coordinate with legal, tax, and other external advisors to ensure smooth deal execution 3. Due Diligence: Conduct thorough due diligence on target companies, including financial, operational, and legal analysis. Evaluate the company's financial statements, business plans, management team, and market positioning. Identify key risks, opportunities, and synergies … to support investment decision-making. 4. Portfolio Monitoring: Monitor the performance of existing portfolio companies, including financial and operational performance, industry trends, and competitive dynamics. Prepare regular performance reports and assist in the development and implementation of value creation strategies for portfolio companies. 5. Market Research: Stay abreast of more »
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Financial Modeller (Contract)

Nottingham, England, United Kingdom
Camino Search
Job Title: Financial Modeller Company Overview: Join a cutting-edge tech company revolutionizing industries with innovative solutions. Our client is seeking a Financial Modeler to drive our financial strategy, collaborating closely with teams to optimize performance. Responsibilities: Financial Modelling: Develop and maintain robust financial models … for revenue projections, cost analysis, and investment valuations. Forecasting and Budgeting: Prepare annual budgets and long-term forecasts, conducting scenario analyses to optimize resource allocation. Strategic Planning: Support decision-making with financial analysis for investments, acquisitions, and growth opportunities. Financial Reporting: Present financial reports and … dashboards to senior management, communicating insights clearly. Cross-functional Collaboration: Partner with teams to gather data, understand business drivers, and align financial goals. Continuous Improvement: Stay updated on industry trends, enhancing financial processes and workflows. Qualifications: Experience in financial modelling and analysis in the tech industry. more »
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M&A Associate | Renewables & Cleantech | London

London Area, United Kingdom
Selby Jennings
the energy and infrastructure sector. They are committed to driving sustainable growth and fostering innovation within the renewable energy industry. Our client provides tailored financial solutions to clients across the renewable energy spectrum, including project financing, mergers and acquisitions, and strategic advisory services. As a team, they are dedicated … wide range of transactions within the renewable energy sector, including mergers, acquisitions, divestitures, and strategic partnerships. They will play a key role in conducting financial analysis, market research, and due diligence, while also supporting the deal execution process from start to finish. This is an exciting opportunity for … individuals who are passionate about renewable energy and eager to contribute to the growth and success of our client's firm. Responsibilities: Conduct financial analysis, including valuation modelling, financial statement analysis, and scenario analysis. Perform industry research and market analysis to identify trends, opportunities, and more »
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Vice President Finance

London Area, United Kingdom
Finatal
organically and profitably. The role We are seeking a Vice President of Finance to work closely with the Head of UK, spearheading the companies financial strategy and propelling their growth trajectory. As an integral part of the UK Leadership Team, you will significantly influence the financial direction of … European operations, contributing to their ongoing success in a dynamic and competitive environment. Key Responsibilities: Lead budgeting, forecasting, and financial planning processes to support strategic decision-making. Formulate and execute comprehensive financial strategies that align with the company’s overall goals. Provide financial insights and guidance to … facilitate informed business decisions with operating leaders. Coordinate with HQ on various growth strategies, including tax optimisation and operational finance. Oversee the preparation and analysis of financial reports, including monthly, quarterly, and annual financial statements. Monitor key financial metrics and offer timely insights to executive leadership. more »
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FIG M&A | Analysts & Associates | Asset & Wealth Management M&A | London

London Area, United Kingdom
Selby Jennings
My Client, a leading global investment banking and financial advisory firm, is seeking a talented and driven M&A Senior Analysts and Associates specialising in FIG M&A in the asset and wealth management sectors to join their team in London. If you have a strong background in the … financial industry, specifically within FIG and the asset and wealth management sectors, we want to hear from you. Candidates with a background in other Financial Institutions Group (FIG) sectors will also be considered. Responsibilities: Lead and execute M&A transactions within the asset and wealth management sectors, including … financial analysis, due diligence, valuation, and deal structuring. Develop and maintain financial models to evaluate potential deals and perform comprehensive analysis of investment opportunities. Conduct industry research and market analysis to identify potential targets and opportunities for clients. Collaborate with cross-functional teams, including legal more »
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Treasury Manager (German & English)

London Area, United Kingdom
Omio
Canada. On application, please state your preferred working location Please note: Fluent in English and German is required The Role: Manage the company's financial assets and ensure they are optimized to achieve maximum returns. Oversee the company's cash management processes, including forecasting, budgeting, and daily cash flow … management. You will also manage relationships with financial institutions, negotiate banking fees, and provide financial analysis and reporting to the executive team to monitor financial risk. Responsibilities: Develop and implement cash management policies and procedures to ensure the efficient use of company funds. Forecast, budget, and … analyze cash flow to identify potential liquidity issues and opportunities for investment. Develop and maintain relationships with banks and financial institutions to optimize cash management strategies. Negotiate banking fees and manage relationships with banking partners. Develop and maintain financial models to evaluate investment opportunities. Provide financial analysis more »
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Treasury Manager (German & English)

Swindon, England, United Kingdom
Omio
Canada. On application, please state your preferred working location Please note: Fluent in English and German is required The Role: Manage the company's financial assets and ensure they are optimized to achieve maximum returns. Oversee the company's cash management processes, including forecasting, budgeting, and daily cash flow … management. You will also manage relationships with financial institutions, negotiate banking fees, and provide financial analysis and reporting to the executive team to monitor financial risk. Responsibilities: Develop and implement cash management policies and procedures to ensure the efficient use of company funds. Forecast, budget, and … analyze cash flow to identify potential liquidity issues and opportunities for investment. Develop and maintain relationships with banks and financial institutions to optimize cash management strategies. Negotiate banking fees and manage relationships with banking partners. Develop and maintain financial models to evaluate investment opportunities. Provide financial analysis more »
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Treasury Manager (German & English)

Greater Bristol Area, United Kingdom
Omio
Canada. On application, please state your preferred working location Please note: Fluent in English and German is required The Role: Manage the company's financial assets and ensure they are optimized to achieve maximum returns. Oversee the company's cash management processes, including forecasting, budgeting, and daily cash flow … management. You will also manage relationships with financial institutions, negotiate banking fees, and provide financial analysis and reporting to the executive team to monitor financial risk. Responsibilities: Develop and implement cash management policies and procedures to ensure the efficient use of company funds. Forecast, budget, and … analyze cash flow to identify potential liquidity issues and opportunities for investment. Develop and maintain relationships with banks and financial institutions to optimize cash management strategies. Negotiate banking fees and manage relationships with banking partners. Develop and maintain financial models to evaluate investment opportunities. Provide financial analysis more »
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FIG M&A | VP | Asset & Wealth Management M&A | London

London Area, United Kingdom
Selby Jennings
My Client, a leading global investment banking and financial advisory firm, is searching for a seasoned and accomplished Vice President (VP) specializing in FIG M&A covering the asset and wealth management sectors to enhance their team in London. If you are a VP with over six years of … experience in the financial industry, particularly in FIG and asset and wealth management, we're eager to hear from you. Responsibilities : Spearhead and oversee M&A transactions within the asset and wealth management sectors, including conducting financial analysis, due diligence, valuation, and deal structuring. Develop and manage … intricate financial models to assess potential deals and conduct comprehensive analysis of investment opportunities. Perform industry research and market analysis to pinpoint potential targets and opportunities for clients. Collaborate closely with cross-functional teams, such as legal, compliance, and tax, to ensure seamless execution of transactions. Prepare more »
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European Generalist (Healthcare-bias) Equity Analyst - Investment Management

Greater London, England, United Kingdom
Integer Executive Search Ltd
values of team spirit and inclusiveness. Your responsibilities: Your primary task will be to: Conduct company investment research to an validate investment thesis – including financial analysis, due diligence on industry trends, company management and strategies and ESG impact and risks You will be expected to: Attend industry conferences … business drivers, strategic direction and ESG impact and risks Maintain up-to-date knowledge of verticals/industry happenings and current events Develop insightful financial modelling and valuation: quickly input data into models to arrive to insightful charts, dashboards and conclusions Produce high quality investment research memos and document … hours Driven and entrepreneurial spirit, initiative, and ambition Your technical skills: MS Office, high familiarity with Bloomberg Strong equity research skills with strength in financial analysis/modelling gained from experience working in a similar role Deep curiosity to analyse and understand business models, industry dynamics, and competitive more »
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French Speaking Analyst, ESG Advisory , Global Non Profit Investment Advisory Firm

London Area, United Kingdom
Greenwich Partners
an Analyst into their London team. Specifically: Advising cities as they develop and implement investment projects aimed at achieving climate neutrality. This includes assessing financial needs, identifying funding sources, and developing financial strategies aligned with city objectives. Build and maintain strong relationships with key internal and external stakeholders … within cities Develop public and private sector financing for the projects, helping investment discussions, and structure financial transactions to meet investor requirements. Advise on Financial Strategies Qualifications Ideally, the successful candidate should have all if not the majority, of the following Experience and Qualifications: Minimum of … years in a financial role (banking/private equity/research) - Preferably financial analysis, project finance, financial transactions and execution, or similar, with a primary focus on sustainable finance highly preferable. Comprehensive understanding of financial markets, financial structuring, and investment instruments as they apply more »
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Financial Planning and Analysis Manager

London Area, United Kingdom
Hybrid / WFH Options
ABL Recruitment
planning, and execution of their transportation network The role will require you to quickly develop your knowledge of operations, understand the economics and key financial drivers, and gain proficiency with business internal data systems to be able to conduct efficient analyses. You will be working closely with finance leaders … priorities, proactively and clearly communicating with key stakeholders, driving projects independently, and successfully delivering within the agreed timelines. Key responsibilities Reviewing year on year financial data and handling various responsibilities (from reporting, analysis and financial planning to providing direction and challenge). High Volume Event Strategy Partner … deliver a standardised, integrated, E2E model which ensures delivering for our customers whilst delivering on cost Labour Strategy Support projects and initiatives through robust financial analysis of ROI and be able to form a view and challenge the business. Requirements 6+ years of finance or a related analytical more »
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Junior Associate

London Area, United Kingdom
Brock & Decker
as a Service (SaaS) companies, while also demonstrating curiosity and interest in consumer ventures within their portfolio. Key Responsibilities: Conduct thorough market research and analysis to identify potential investment opportunities in the SaaS sector, evaluating factors such as market trends, competitive landscape, and growth potential. Assist in due diligence … processes for potential investments, including financial analysis, business model evaluation, and risk assessment. Support the management of existing SaaS portfolio companies, working closely with founders and management teams to drive growth and operational excellence. Develop and maintain financial models, forecasts, and investment memos to support decision-making … degree is a plus. 2-5 years of relevant experience in investment banking, management consulting, or a related field, with a strong understanding of financial analysis and valuation methodologies. Experience in the SaaS industry is highly desirable, with a demonstrated passion for technology and innovation. Entrepreneurial mindset with more »
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Commercial Associate Director

London Area, United Kingdom
EssenceMediacomX
Ideally involved in Pitch work (Planning, Negotiating, Advising & Presenting). Strong knowledge of accounting principles and their practical application. Strong analytical orientation. Skills in financial analysis, including review of financial statements and analysis of key business metrics. Excellent verbal and written communication skills including the ability … under pressure; consistently pay attention to accuracy and quality of work. Proficiency with Microsoft Office Suite; demonstrated skill with Microsoft Excel performing complex data analysis including Pivot Tables and Macros. Experience working within a matrix environment supporting multiple business partners. Demonstrated ability to build strong working relationships and be more »
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Financial Controller – Private Debt – CRE (Loan Asset Management)

London, England, United Kingdom
Hybrid / WFH Options
AXA
Financial Controller – Private Debt – Commercial Real Estate (Loan Asset Management) 22 Bishopsgate, London – Hybrid Permanent At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for … the long-term to help our clients, our people and the world to prosper. As a future Financial Controller – Private Debt, Commercial Real Estate (Loan Asset Management), you will report to Head of FMCG Private Debt, and you will be part of AXA IM Real Assets. DISCOVER your opportunity … AXA Investment Managers (AXA IM) is a multi-expert asset management company within the AXA Group, a global leader in financial protection and wealth management. AXA IM is one of the largest European-based asset managers with approximately €830bn in assets under management as of the end of September more »
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Financial Controller

Basingstoke, England, United Kingdom
Hybrid / WFH Options
Tomato Energy
to delivering exceptional customer service and building robust community relationships to drive towards a greener future. Currently, we are in search of an experienced Financial Controller to lead and manage the financial operations of our Energy Division. As a key player in our finance department, you will play … a pivotal role in contributing to the financial success of our rapidly expanding organisation. Key Responsibilities: Financial analysis and support to the business, including investment appraisals, pricing decisions, and cost analysis. Monthly and quarterly financial management reports. Group cash flow with accurate forecasting. Experience of annual … audit process. Project analysis, validation of plans, and ad-hoc requests. Tax compliance and provide information to lenders as per loan agreements. Annual budget process and within-year forecasts. Closely with the projects team to control capital expenditure and identify risks early. Requirements: Degree in Accounting, Finance, or related more »
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ESG Climate Risk Strategy Lead

Surrey, England, United Kingdom
Hybrid / WFH Options
Timely Recruit Ltd
a team in formulating sustainability strategies while conducting comprehensive assessments of Climate Risks and opportunities. Drive strategic development and operational execution of climate-related financial and risk reporting. Collaborating with private equity firms and their portfolio companies to evaluate, assess, and execute ESG initiatives aimed at optimising value generation … and risk management. Completing numerous TCFD assessments, encompassing a thorough review of governance structures, risk management frameworks, and financial projections to integrate climate change considerations into clients' strategic plans. Leading the integration of physical climate risk assessments and transition strategies into client business practices. Providing consultancy on sustainability frameworks … profiles and devising and executing suitable ESG strategies. Developing climate sensitivity and scenario modelling. Professional and Personal Attributes: Experience of performing climate transition risk analysis within a consultancy or similar client-facing environment. Profound knowledge in financial modelling, P&L, balance sheets, and forecasting, with a focus on more »
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Equity Research Associate, Pharma coverage, US Investment Bank

Greater London, England, United Kingdom
Greenwich Partners
work with the lead analysts on the following responsibilities: - Writing pieces of equity research on European Pharma companies. - Speaking with clients about your recommendations - Financial modelling, valuations, financial analysis - Listening to newsflow, updating financial models, keeping the team up to date with developments - Company and client … banking, consulting, investment banking, research, ACAs, CFAs professional or academic background in pharma/biology. medicine/lifesciences superb academic background real interest in financial markets more »
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Associate/Manager, Portfolio Insights & Analytics, Private Equity/Credit Fund, London

London Area, United Kingdom
Finatal
unique opportunity to join an exciting firm in the private equity space. The ideal candidate will have had valuable experience in running and operating financial models for a range of different businesses, across different industries within private equity/private credit. The Role: The talented and experienced portfolio manager … will take responsibility for managing and monitoring ongoing investments, with responsibilities including: Develop and maintain complex financial models to analyse investment performance and support decision-making processes. Collaborate with cross-functional teams to gather data, identify key metrics, and define reporting requirements. Design and implement data visualisations, dashboards, and … reports to effectively communicate insights and trends. Utilise DAX programming language to manipulate data and create custom calculations within Power BI. Conduct ad-hoc analysis to address specific business questions and provide actionable recommendations. Assist in the preparation of presentations and reports for internal stakeholders and investors. Stay current more »
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Equity Research Associate, Banks Coverage, Tier One Global US Investment Bank

Greater London, England, United Kingdom
Greenwich Partners
the lead analysts on the following responsibilities: - Assisting in writing writing pieces of equity research on European Banks - Speaking with clients about your recommendations - Financial modelling, valuations, financial analysis - Listening to newsflow, updating financial models, keeping the team up to date with developments - Company and client more »
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M&A VP | Metals & Mining | London

Greater London, England, United Kingdom
Selby Jennings
Exciting Opportunity in London's Financial Sector - VP Role in Metals and Mining M&A Are you a seasoned leader ready to take charge in the dynamic realm of Mergers and Acquisitions? Do you possess a deep-seated passion for the Metals and Mining industry? We are currently seeking … an accomplished and driven individual for a VP role in M&A with a top tier financial institution in London. Position: VP - Metals and Mining M&A Location : London, United Kingdom Key Responsibilities: Lead and mentor a high-performing team to execute M&A transactions within the Metals and … Mining sector. Conduct thorough financial analysis, due diligence, and valuation assessments to identify lucrative investment opportunities. Develop intricate financial models and presentations for clients and internal stakeholders. Spearhead deal structuring, negotiation, and documentation to ensure seamless transaction closures. Remain abreast of industry trends, market developments, and regulatory more »
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Group FP&A Manager

London Area, United Kingdom
Hybrid / WFH Options
Finrox Recruitment
a very well-known retail company that seeks a skilled FP&A Manager to enhance their team. This role offers the opportunity to lead financial planning and analysis, driving significant business decisions. About the Company Our client is a leading supplier in the retail sector, known for their … impact on the business. Role Overview The Group FP&A Manager will play a crucial role in optimising reporting and planning processes, driving key analysis, and delivering actionable insights to influence decision-making across the organisation. Reporting to the Senior FP&A Manager, this role offers significant exposure to … in-house expert. Support Budget and re-forecasting cycles, consolidating and analysing submissions. Embed Group-wide integrated planning tools (Anaplan) into business processes. Perform financial analysis on key business questions, providing monthly variance analysis. Lead strategic and commercial finance projects to drive growth and value. Collaborate with various more »
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Financial Analysis
10th Percentile
£31,025
25th Percentile
£39,000
Median
£71,250
75th Percentile
£85,000
90th Percentile
£95,000