We are looking for a detail oriented, Excel-master to join our global FP&A team as a Corporate Finance Associate. You will work closely with senior finance leadership to deliver the financial intelligence that powers Numerator's decision-making — from the boardroom to the business units.
This role is suited to someone stepping out of investment banking, equity research, or management consulting who wants to apply their analytical rigour and enthusiasm in a dynamic, fast-growing technology environment. This is a role with large opportunities for growth across the FP&A function within a global organization.
Key Responsibilities
Financial Modelling & Analysis
• Design, build, and continuously improve complex, multi-driver financial models that support business planning, forecasting, and long-range strategic planning.
• Streamline and automate existing models in Excel to improve accuracy, speed, and usability across the finance team.
• Develop rigorous scenario and sensitivity analyses to stress-test assumptions and quantify the financial impact of strategic options, market shifts, and operational decisions.
• Build variance analyses that clearly articulate performance against plan, prior year, and rolling forecast.
Reporting
• Support the preparation and quality control of financial presentations to key stakeholders, distilling complex financial narratives into clear, compelling slide decks senior leaders across the business.
• Partner with the VP of FP&A to develop regular board packs, ensuring data accuracy, visual clarity, and alignment with the company's strategic messaging.
• Produce and distribute regular financial reporting packages for internal stakeholders across Numerator’s operating regions in North America, UK & Ireland, LatAm, EMEA and APAC.
• Maintain a consistent and accurate reporting calendar, ensuring all deliverables are produced on time and in line with agreed formats and standards.
• Act as a trusted finance partner to senior Finance leadership to support ad-hoc projects, including M&A analysis, performance deep-dives, and process improvements.
Process Improvement & Infrastructure
• Identify inefficiencies in existing FP&A processes and lead initiatives to reduce manual effort through automation and/or revised modelling frameworks.
• Document modelling standards and reporting templates to ensure consistency and knowledge transfer across the team.
Qualifications & Experience
• 2–5 years of experience in investment banking, equity research, or management consulting (strategy/corporate finance-focused).
• Exceptional financial modelling skills — you can build a three-statement model, a DCF, and a scenario analysis from scratch and you know how to make them robust and legible for others.
• Extensive experience with PowerPoint for executive-level presentations.
• Highly detail-oriented with a commitment to accuracy
• Comfortable working under pressure against tight deadlines


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