Job Title: Commercial Financial Planning & Analysis Manager: Cash Flow SME Salary: Up to £80,000 per annum Working Pattern: Hybrid - 3 Days A Week in Office Location: Reading, UK Are you a financial expert with a passion for cash flow management and working capital optimisation? Our client is seeking a Commercial FP&A Manager: Cash Flow Subject Matter Expert to join their dynamic finance team. Reporting to the Head of FP&A, you will play a key role in overseeing cash management, working capital, and supporting specialist projects, ensuring financial stability and strategic growth. Benefits: Hybrid working Progression opportunities Generous pension Private health insurance Key Responsibilities: Support the whole finance transformation of the company, helping to build a world-class finance function. Develop and implement group-wide cash flow and working capital frameworks, ensuring alignment with business objectives. Lead cash flow planning, monitoring, and reporting to optimise liquidity and financial performance. Identify and drive opportunities to improve cash conversion and operational efficiency. Deliver accurate, timely cash flow reports and analysis to senior leadership and stakeholders. Enhance forecasting accuracy, scenario analysis, and risk mitigation strategies related to cash flow. Establish a framework for monitoring and reporting key risks and opportunities impacting liquidity. Collaborate with Finance, Treasury, Operations, and Business Units to optimise cash flow performance. Oversee NoRec (special items), ensuring appropriate financial processes and controls. Required Experience & Skills: Bachelor's degree in Finance, Accounting, or related field. 5 years of FP&A experience, ideally within a shared services environment. Strong financial planning, forecasting, and modelling skills. Expertise in cash flow management and working capital optimisation. Proficiency with planning and reporting tools; advanced Excel skills essential. Ability to influence and collaborate across departments. Personal Attributes: Data-driven with strong analytical and problem-solving skills. Effective communicator, able to build relationships across teams. Capable of managing multiple priorities in a fast-paced environment. Inspirational leader who fosters a high-performance culture. If you're ready to take on this exciting challenge as a Commercial Financial Planning & Analysis Manager: Cash Flow SME, apply today