
PM Consulting · Metro Manila, Philippines, PH · about 2 months ago
The FP&A Manager is responsible for leading financial planning, budgeting, forecasting, and management reporting to support enterprise-wide decision-making. The role provides insights on financial performance including cash flow, EBITDA, CAPEX, and OPEX, enabling leadership to assess risks and opportunities. It also requires strong stakeholder engagement and the ability to present clear, data-driven recommendations to senior management.
Minimum 4–7 years of experience in financial planning & analysis, financial reporting, and consolidation
Strong background in budgeting and forecasting at a corporate level; financial modeling experience is plus.
Proven experience in CAPEX analysis, cash flow management, EBITDA, and balance sheet review
Exposure to corporate finance, investment appraisal, or M&A is an advantage
Experience in infrastructure, utilities, or related regulated industries is preferred
Preferably with at least 2 years in a leadership role.
Advanced proficiency in Excel, SAP Analytics Cloud, and other financial systems
Strong analytical, presentation, and stakeholder management skills
Lead preparation and delivery of monthly, quarterly, and ad hoc management reports, including financial performance analysis (cash flow, EBITDA, CAPEX, and other key metrics)
Review and finalize monthly financial reports and ensure accuracy, completeness, and timely submission to stakeholders
Present financial results and key insights to management and other internal/external stakeholders
Support and coordinate the annual budgeting process, including consolidation, validation, and submission of enterprise-wide budget
Analyze budget submissions, challenge assumptions, and highlight risks, gaps, and opportunities
Prepare financial analysis and presentations for senior leadership and board-level budget approval
Evaluate CAPEX projects and enterprise initiatives, ensuring financial alignment, risk identification, and actionable recommendations
Review CAPEX/OPEX impacts of business initiatives and ensure key risks and issues are properly captured in reports
Partner with Finance, Corporate Planning, and business units to align financial plans with organizational priorities
Conduct financial modeling and ad hoc analysis to support strategic initiatives and decision-making
Assist in the preparation of reports for internal and external distribution, ensuring clarity and consistency of financial messaging
Participate in special projects and provide financial insights as required
Headquarters
Metro Manila, Philippines
Work Location
hybrid
Job Category
IT - Network / Systems / DB Admin
Application Deadline
Not specified
Job Type
full-time
Experience Level
manager-level
Application Method
Apply via Website
Salary
Not specified
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