Manager FP&A and Corporate Finance
Amsterdam
€90k – to €105k gross per year, including holiday pay | Bonus scheme up to 15%
EMPLOYMENT CONDITIONS & HIGHLIGTS
- €90k – to €105k gross per year, including holiday pay
- Bonus scheme up to 15%
- Challenging and rewarding role with the opportunity to shape the financial strategy
- Supportive and collaborative work environment, with a focus on professional development and career growth
- Opportunity to be part of a fast-growing company in a dynamic and future-oriented industry
POSITION
As Manager FP&A and Corporate Finance you will play a critical role in driving our financial planning, analysis and decision-making processes. You’ll bring a wealth of knowledge in corporate finance, strategic planning and financial analysis to support our ambitious growth plans. This position reports directly to the CFO and works closely with senior leadership to shape the financial future of our company
KEY RESPONSIBILITIES
- Financial Analysis and Reporting: Conduct comprehensive financial analysis to identify trends, risks and opportunities. Prepare detailed reports and presentations for the executive team and stakeholders, both periodically and ad-hoc
- Investment and Capital Management: Evaluate investment opportunities, manage capital allocation and ensure optimal return on investment. Oversee financial modelling for existing assets as well as new projects and expansions
- Cost Management and Optimization: Implement cost-saving initiatives and efficiency improvements across operations. Monitor and analyze operational costs to ensure alignment with financial targets
- Stakeholder Engagement: Liaise with investors, bankers and external partners to secure funding, negotiate terms and maintain strong financial relationships
- Compliance and Risk Management: Ensure compliance with financial regulations and standards. Develop and maintain robust financial controls and risk management practices
- Leadership and Team Development: Lead and mentor a team of finance professionals. Foster a culture of continuous improvement and professional development
PROFILE
- Bachelor’s or master’s degree in finance, Accounting, Economics or related field. An MBA or professional certification (e.g. CFA, CPA) is highly desirable
- 7-10 years of relevant experience in corporate finance, financial planning and analysis or a similar role, preferably in the data center industry or related fields
- Strong analytical skills with the ability to interpret financial data and generate actionable insights
- Proficient in financial modelling, budgeting and forecasting techniques
- Excellent communication and leadership skills, with the ability to influence decisions and lead cross-functional teams
- Knowledge of financial regulations and reporting requirements
- Experience with ERP systems and financial software tools
COMPANY
KevlinX is a fast-growing scale-up company active in the development, construction and operations of data centers. In the coming years, significant investments will be made in several international projects, increasing data center capacity in multiple European countries. There are two PE investors, including one of the largest infrastructure investors in the world, backing this interesting, future-oriented organization. Currently, KevlinX employs 20 people across 3 countries. The company is expected to grow significantly in headcount, CAPEX and revenue in the coming years, leading to increasing complexity.