The FP&A Manager at Nivoda will be a crucial member of the finance team, independently driving key financial planning and analysis initiatives. This role involves leading budgeting, forecasting, and financial reporting efforts, as well as developing complex financial models to support strategic decisions. The ideal candidate will bring a solid foundation of financial expertise, combined with the ability to think critically and act autonomously, providing insights that shape the company’s financial strategy.
Nivoda’s growth trajectory has skyrocketed over the past 12 months, and we continue to expand across new regions at an unprecedented pace. Our DNA centers on understanding our customers needs and offering them a seamless experience. With a growing team based in major cities worldwide, including London, New York, Hong Kong, and Mumbai, Nivoda is becoming the goto marketplace for the global jewelry industry.
We are bold, innovative, and relentless in our pursuit of excellence as we transform an industry steeped in tradition.
Lead the preparation of monthly management reports, working in close contact with our accounting department during the budgeting and forecasting processes, working closely with department heads to align financial plans with business objectives.
Develop, refine, and maintain complex financial models to support longterm business planning and decisionmaking.
Conduct indepth financial analysis, identifying trends, risks, and opportunities to inform strategic decisions and improve profitability.
Collaborate crossfunctionally with various teams to gather financial data and understand operational impacts on financial performance.
Present to senior management, providing insights and recommendations.
Develop and monitor key performance indicators (KPIs) to track the financial health of the business and identify areas for improvement.
Create dashboards to track KPI development
Bachelor’s degree in Finance, Economics or a related field.
4+ years of experience in financial planning and analysis, strategic finance, consulting, or a related role.
Advanced proficiency in Excel, including experience with complex financial modeling.
Strong analytical and problemsolving skills, with a keen attention to detail.
Solid understanding of financial statements, budgeting, and forecasting processes.
Ability to work independently, manage multiple priorities, and meet tight deadlines.
Excellent verbal and written communication skills, with the ability to convey complex financial concepts to nonfinancial stakeholders.
Proven ability to build strong relationships and collaborate effectively across teams.
Experience with financial reporting and planning tools (e.g., Netsuite a plus).
Proficiency in data query and visualization tools (e.g., SQL, Power BI, Tableau) for presenting financial data.
Fastpaced and multinational working environment
The opportunity to be part of a hyper growth scale up
Flexibility with remote working
Unlimited holiday allowance
Highly competitive base salary
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