Job Overview
Job description
- Location:
- United Kingdom
- Work arrangement:
- On-site
Role Summary
An international product company operating in the music technology space. We build an ecosystem of products for musicians and content creators — from audio recording and editing tools to platforms with sheet music, tabs, and educational materials. Our audience exceeds 400 million users worldwide. The team is distributed across multiple countries, with a brand history dating back to 1998.
Our portfolio includes several well-known products and brands in music tech and music publishing, including the results of major M&A deals in recent years.
We are looking for an FP&A Manager who brings strong analytical expertise together with a practical, business-focused approach. In this role, you will take ownership of core financial planning and analysis activities, working closely with cross-functional teams and senior stakeholders. You will play a key role in driving financial visibility, supporting strategic decisions, and improving overall business performance.
Responsibilities
Financial Planning & Forecasting
- Own and drive the full-cycle budgeting, forecasting, and long-range planning processes across international operations.
- Analyze performance against plan, identify variances, and provide actionable insights to support decision-making.
- Partner with regional teams and business functions to ensure consistency and accuracy of financial inputs and assumptions.
Financial Analysis & Strategic Support
- Deliver in-depth financial analysis to support business strategy and operational improvements.
- Identify trends, risks, and growth opportunities, translating complex data into clear business insights.
- Develop and maintain financial models to evaluate scenarios, investments, and strategic initiatives.
Reporting & Insights
- Prepare and present high-quality financial reports, dashboards, and presentations for senior management.
- Ensure timely and accurate delivery of monthly, quarterly, and annual financial reporting.
- Conduct ad-hoc analyses to support key business decisions and ongoing initiatives.
Process Improvement & Tools
- Continuously enhance FP&A processes, focusing on efficiency, scalability, and automation.
- Work hands-on with planning tools, ERP systems, and Excel to optimize workflows and reporting capabilities.
- Support the implementation of best practices in financial planning and analytics.
Business Partnering
- Act as a trusted finance partner to key functions such as Sales, Revenue, Data, and People teams.
- Provide financial guidance, challenge assumptions, and support decision-making across the organization.
- Contribute to building a strong business partnering culture within finance.
Requirements
- Bachelor's degree in Finance, Accounting, Economics, or a related field; MBA or CPA/CFA is a plus.
- Solid experience in financial planning and analysis, ideally within a global or multi-entity environment.
- Proven experience working with international markets (Europe, US) — required.
- Experience participating in M&A (mergers & acquisitions) transactions — required.
- Strong understanding of accounting principles, financial processes, and advanced financial modeling.
- Prior experience in a Big4 firm (Deloitte, PwC, EY, or KPMG) in audit, advisory, or transaction services is a strong advantage.
- Hands-on, detail-oriented mindset with the ability to balance strategic thinking and execution.
- Excellent analytical skills with the ability to transform data into actionable insights.
- Strong communication and presentation skills, with confidence in working with senior stakeholders.
- Proficiency in financial systems and tools (ERP platforms, planning tools, advanced Excel).
- High level of integrity and ability to handle confidential information.
- Fluent English — required (English-speaking candidates are welcome to apply).
- Proactive, initiative-driven mindset, with a willingness to propose and implement improvements.
Benefits
- Work your way Remote-first culture across 40+ countries — work from wherever you feel most productive and comfortable.
- Flexible work format Fully remote, or hybrid options from our offices in London (UK) or Limassol (Cyprus) — whichever setup works best for you.
- Set up for success We make sure you have everything you need to do your best work — company-provided hardware or an equipment allowance, plus the tools and systems to operate at a senior level.
- Growth & development Specialized training, language lessons, conferences, and learning materials. We invest in our team's continued professional growth.
- Real impact at scale Influence the financial direction of an international group with products used by 400M+ people worldwide. Your work directly shapes strategic decisions at the top.
- Creativity & purpose Be part of a company building products for musicians, artists, and creators globally. Finance work here has a tangible connection to the products and the audience.
- Team well-being Comprehensive support for your mental health and well-being, including confidential help during life's tougher moments.
- Country-specific benefits Additional benefits — including pension contributions, healthcare, parental leave, and local statutory entitlements — depend on your country of residence and will be discussed during the interview process.
- Role:
- FP&A Manager
- Job Type:
- Full Time