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Director Finance, Planning and Analysis

Next Level Group

Charlottetown, Canada

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Posted: August 11th, 2025

Job Description

Job Description

Job Description

Position Overview

We are seeking a strategic and detail-oriented Director of Financial Planning & Analysis (FP&A) to lead budgeting, forecasting, financial modeling, and treasury management functions within a growing, dynamic organization. This role will serve as a key business partner to the senior leadership team, delivering insights and guidance to drive efficiency, profitability, and sustainable growth in a highly regulated and fast-paced environment.

Key Responsibilities

Strategic Planning & Forecasting

  • Lead the development and execution of annual budgets, long-range planning, and rolling forecasts.

  • Partner with operational departments to ensure financial plans align with business goals and regulatory requirements.

Financial Analysis & Reporting

  • Provide in-depth analysis of financial performance across all business units.

  • Deliver monthly, quarterly, and annual reports and presentations for executive leadership.

  • Identify financial risks, opportunities, and trends to support strategic decision-making.

Cost & Margin Analysis

  • Oversee product costing, margin performance, and inventory valuation.

  • Implement initiatives to reduce costs and improve operational KPIs including waste, yield, and throughput.

Cross-Functional Business Support

  • Act as a financial partner to teams across operations, procurement, R&D, and commercial functions.

  • Evaluate capital investment opportunities, performing ROI and risk assessments.

Process & Systems Improvement

  • Drive continuous improvement in financial systems, dashboards, and reporting tools.

  • Ensure strong internal controls and alignment with financial policies and regulatory requirements.

Treasury & Cash Flow Management

  • Lead cash flow forecasting and liquidity planning to support operational needs.

  • Manage banking relationships, debt facilities, and short-term investment strategies.

  • Optimize working capital and ensure compliance with treasury policies.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or related discipline.

  • CPA, CMA, MBA, or CFA designation is considered an asset.

  • 8–12 years of progressive FP&A experience, with 5+ years in a leadership capacity.

  • Previous experience in a manufacturing or production-based environment is strongly preferred.

  • Proficient in ERP systems (e.g., SAP, Oracle) and advanced financial modeling tools.

  • Strong leadership, communication, and strategic thinking skills.

  • Knowledge of treasury operations, banking, and financial risk management.

Preferred Attributes

  • Agile leader with a balance of strategic vision and operational execution.

  • Comfortable managing multiple projects in a high-growth, regulated environment.

  • Experience with lean manufacturing, cost accounting, or Six Sigma methodologies.

  • Familiarity with public company reporting standards and international banking practices.

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