Job Summary
We are seeking a highly analytical FP&A professional with strong feasibility analysis experience to support strategic decision-making, investment evaluation, and long-term financial planning. The role will play a key part in assessing new projects, business expansions, and capital investments through detailed financial modeling, scenario analysis, and performance tracking.
Key Responsibilities
Financial Planning & Analysis
- Lead annual budgeting, forecasting, and long-range planning processes
- Prepare monthly management reports, variance analysis, and performance dashboards
- Partner with business units to analyze financial performance and key drivers
- Develop and maintain financial models to support operational and strategic decisions
Feasibility & Investment Analysis
- Conduct feasibility studies for new projects, business opportunities, and capital investments
- Build and review project-level financial models including IRR, NPV, payback, and sensitivity analysis
- Evaluate commercial, financial, and operational assumptions
- Perform scenario and risk analysis to support investment decisions
- Prepare feasibility reports and investment memos for senior management and stakeholders
Business Partnering & Strategy
- Work closely with operations, commercial, development, and strategy teams
- Support pricing, cost optimization, and profitability initiatives
- Assist in due diligence for acquisitions, partnerships, or joint ventures
- Provide financial insights to support strategic initiatives and board-level presentations
Controls & Process Improvement
- Ensure financial models and analyses follow best practices and governance standards
- Improve FP&A tools, templates, and reporting processes
- Support automation and system enhancements where applicable
Qualifications & Experience
- Bachelor's degree in Finance, Accounting, Economics, or related field
- 510 years of experience in FP&A, corporate finance, or investment analysis
- Hands-on experience in feasibility studies and project finance modeling
- Strong understanding of financial statements, cash flow analysis, and valuation techniques
- Advanced Excel skills; experience with financial modeling
- Experience in FMCG, manufacturing is an advantage