Full-time | Permanent | Based in the London Head Office
Reporting to
Head of Financial Planning & Analysis
Purpose
The Financial Controller plays a vital role in supporting the Head of FP&A in managing the budgeting, reporting, and financial analysis functions for all ITX UK & ITX Retail Ireland companies.
You will be part of a strategic team focused on supporting the business through financial planning, performance analysis, and the generation of key insights to support decision-making. Your work will be essential in identifying opportunities, anticipating risks, and supporting business growth through a strong analytical and results-driven mindset.
Key Responsibilities
Budgeting
- Full involvement in the annual budgeting process, including the management and analysis of budget data submitted by Heads of Departments.
- Uploading and maintaining budget information within the SAP BPC budgeting system.
- Reviewing budgets against business objectives and identifying key variances.
Reporting
- Producing regular reports to inform senior management and budget owners about business performance against financial and operational targets.
- Supporting the continuous development and improvement of reporting tools and dashboards.
- Preparing ad hoc reports and analyses according to business needs.
Analysis & Forecasting
- Analyzing company performance, including monitoring key P&L lines, commercial performance, and business KPIs.
- Reviewing investment projects and feasibility studies for new store openings, relocations, and refurbishment projects across the UK & Irish business.
- Investigating variances against budget and liaising regularly with Heads of Departments to obtain relevant information and feedback.
- This includes reviewing real estate, logistics and other operational expenses to support strategic decision-making and capital allocation.
- Providing support to INDITEX Controllers regarding queries related to the performance of the UK & Irish business.
- Ensuring timely and accurate preparation of business analysis summaries for Headquarters.
- Supporting the preparation of regular and ad hoc financial forecasts for all companies.
Experience & Qualifications
- Master’s degree in Business, Finance, Economics, or equivalent.
- CIMA / ACCA / ACA partly or fully qualified is an advantage.
- Minimum of 1 year experience in Financial Planning & Analysis, preferably within retail, real estate, and multinational environments.
- Proven experience in real estate finance, retail expansion analysis, investment appraisal, and feasibility studies for store openings or refurbishment projects.
- Practical knowledge of SAP Real Estate systems, financial modelling and forecasting
- Experience conducting research on market trends and analyzing macroeconomic impacts on business units.
- Experience partnering with multiple business functions and delivering high-quality insights to senior leadership.
- Previous experience working in multinational or large organizations.
- Fluent in English; a good level of Spanish is an advantage.
- Strong analytical skills with experience in data management and reporting.
- Advanced Excel skills with aptitude for systems and software such as SAP, SAP Real Estate, PowerPoint, and Keynote.
- Strong communication and interpersonal skills.
- Excellent organizational and time management abilities.
- Team player with the ability to work independently.
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