FP&A Manager

36648
  • £80,000 - £90,000
  • London
  • Permanent
FP&A Manager – Europe

European Technology Business

Location: London - 2/3 days per week





A technology business is seeking a proactive and reliable FP&A Manager – Europe to lead its finance function across the UK and Italy.



This role will manage end-to-end financial operations, including transactional accounting, monthly reporting, and coordination with external accountants. In addition to core responsibilities, the role may support internal financial projections, scenario modelling, and preliminary business analysis to support regional growth or partnership evaluation.



This is a hands-on position with broad exposure across the organisation and the opportunity to influence key commercial decisions.

Key Responsibilities:

Manage end-to-end financial operations across the region (UK and Italy)
Ensure timely and accurate invoicing to both key accounts and SMB clients
Oversee accounts receivable, accounts payable, and all bank transactions
Coordinate with external accounting firms for statutory filings, VAT returns, payroll input, and year-end audits
Ensure compliance with UK and European GAAP, VAT regulations, and other relevant financial laws
Maintain financial documentation in line with audit and legal requirements
Prepare and consolidate monthly management accounts
Lead monthly close activities and liaise with global finance teams for regional consolidation
Maintain financial controls, reporting templates, and internal workflows
Prepare ad hoc financial reports and summaries for senior leadership
Support internal financial projections and scenario planning
Conduct light-touch financial analysis to support market expansion or partnership opportunities
Collaborate with regional leadership and cross-functional teams on business cases and commercial planning


Required:

Qualified accountant (ACCA, ACA, or CIMA)
Minimum 5 years’ experience in corporate finance, accounting, or FP&A
Strong knowledge of UK accounting, tax, and regulatory compliance
Hands-on experience with monthly close, consolidation, and statutory audits
Familiarity with UK and European GAAP and cross-border financial operations
Proficiency with financial systems (e.g. Xero, QuickBooks, SAP, Excel)
Fluent English
High attention to detail and strong organisational skills
Ability to work independently within a lean, multi-market environment


Preferred:

Experience in a startup, scale-up, or technology-led business
Exposure to budgeting, forecasting, or financial modelling
Experience working with external professional services (accounting, legal, payroll)
Ben Jeffries Associate Director - Contract Marketing

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