About the job
Trinity Biotech plc specializes in the development, manufacture and marketing of diagnostic test kits. Our continued success is based on the fact, that as a company, we consistently achieve standards of excellence in the quality of all we do.
The test kits we manufacture are used in the clinical laboratory and point-of-care segments of the diagnostic market, to detect infectious diseases, sexually transmitted diseases, autoimmune disorders, haemoglobin disorders, and in the detection, monitoring and control of diabetes. We are also a significant provider of raw materials to the life sciences industry.
Quoted on the NASDAQ exchange, and with facilities spanning Europe and America, our products are sold in more than 110 countries. We reach our customers worldwide by combining the skills of our own sales force with a network of international distributors and strategic partners.
Overview
Reporting to the Group Head of Reporting, We are seeking a highly skilled and motivated FP&A Manager to join our dynamic finance team. This is a key role in driving financial planning excellence and supporting strategic decision-making at a pivotal time for our business. The successful candidate will play a critical part in maintaining and enhancing our financial modelling processes, ensuring the delivery of high-quality insights to senior management, and enabling data-driven decisions that support the company’s growth objectives. This role requires a deep understanding of financial modelling, forecasting, and budgeting.
This is an exciting opportunity to contribute to the success of a publicly listed company, working closely with senior leadership to shape the future of our business.
Key Responsibilities
The main duties include but are not limited to the following:
- Lead the financial planning and analysis processes, including budgeting, forecasting, and long-term planning.
- Develop financial models and analyses to support strategic initiatives.
- Prepare Quarterly and Monthly Financial reports, and other presentations to Board of Directors and Senior Management Team.
- Analyze complex financial information and reports to provide accurate and timely actionable insights and recommendations to management for decision-making purposes.
- Monitor performance indicators, highlighting trends and analyzing causes of unexpected variance.
- Collaborate with various departments to gather relevant data, understand business drivers, and ensure alignment between financial forecasts and operational realities.
- Challenge the robustness of data points, identify inconsistencies, and implement processes to clean and standardize data inputs.
- Improve performance by evaluating processes to drive efficiencies and understand ROI in marketing programs, pricing, new product rollouts etc.
- Supporting Senior Management Team and Departments heads with in-depth analysis.
The Candidate
- ACA, ACCA or CIMA qualified with 5+ years PQE
- Proven experience in financial planning and analysis
- High proficiency in financial modeling techniques, including strong fluency with Excel formulas and functions.
- Strong analytical and data gathering skills.
- Strong business acumen.
- Strong quantitative and analytical competency.
- Excellent communication skills, with the ability to present complex financial information clearly.
- Self-starter with strong problem-solving abilities and a hands-on approach to tackling challenges.
- Strong interpersonal skills, including written and oral communication skills.
- Comfort dealing with ambiguity and the ability to work independently.
- Experience in a similar role within a complex business environment is preferred