Manage all FP&A activities for GSS organization, including budgeting, forecasting and reporting of full P&L as well as specific balance sheet items (inventory, receivables, payables).
Act as a proactive partner toGSSleadership, providing financial insights to drive strategic decisions as well as seasonal and sub-category targets.
Own management reporting packages (P&L, Balance Sheet), business cases (e.g., retail expansion, franchise investments), and commercial performance reviews.
Monitoring and steering of Sales Working Budgets (SWB), COS Variances (Freight & Duty) and store level P&Ls.
Identify risks and opportunities through in-depth variance analysis, scenario modeling, and facilitate related recommendations.
Ensure forecast accuracy, target achievement, and cash flow optimization through robust financial planning and execution.
Supporting and working closely with Credit Management to optimize customer portfolios, managing collection activities / bad debts as well as supporting customer onboarding through financial evaluation.
Proactively manage medium sized projects and/or actively participate in larger projects; implement findings and ensure sustainability of achievements .
Drive systems and data excellence by leveraging reporting tools such as SAC or Power BI.