Description
Treasury Intelligence Solutions (TIS) delivers cloud-based cash flow and payment solutions that help organisations optimise liquidity, improve financial visibility, and streamline payment processes. Our team works in a collaborative, international environment with a strong focus on innovation, ownership, and continuous improvement.
As a FP&A Manager, you will play a key role in shaping the financial direction of the organisation. You will drive financial transparency, enable data-driven decision-making, and act as a strategic partner to leadership and investors. Your work will directly support sustainable growth and help scale the business in line with our ambitions.
In this role, you will own the FP&A function and build a strong foundation for financial planning, reporting, and performance management. You will work closely with senior stakeholders across the organisation, translating financial data into actionable insights and supporting strategic decision-making.This is a highly visible role combining strategic thinking with hands-on execution. You will own budgeting, forecasting, financial modelling, and continuously improve processes, tools, and ways of working.
Please note that this position requires the successful candidate to be based in Germany, the United Kingdom, or Belgium.
Treasury Intelligence Solutions (TIS) delivers cloud-based cash flow and payment solutions that help organisations optimise liquidity, improve financial visibility, and streamline payment processes. Our team works in a collaborative, international environment with a strong focus on innovation, ownership, and continuous improvement.
As a FP&A Manager, you will play a key role in shaping the financial direction of the organisation. You will drive financial transparency, enable data-driven decision-making, and act as a strategic partner to leadership and investors. Your work will directly support sustainable growth and help scale the business in line with our ambitions.
In this role, you will own the FP&A function and build a strong foundation for financial planning, reporting, and performance management. You will work closely with senior stakeholders across the organisation, translating financial data into actionable insights and supporting strategic decision-making.This is a highly visible role combining strategic thinking with hands-on execution. You will own budgeting, forecasting, financial modelling, and continuously improve processes, tools, and ways of working.
Please note that this position requires the successful candidate to be based in Germany, the United Kingdom, or Belgium.
Requirements
- Degree in Finance, Accounting, Economics, or a related field (MBA is a plus)
- Proven experience in FP&A, corporate finance, or private equity-backed environments
- Strong financial modelling and analytical skills
- Experience working with senior stakeholders and leadership teams
- Knowledge of SaaS or recurring revenue business models is a plus
- Excellent communication and stakeholder management skills
- Experience with financial systems, BI tools, and advanced Excel skills
- Leadership experience and ability to develop high-performing teams
- Strong ownership mentality and proactive mindset