Corporate Finance Manager
Brinks
Corporate Finance ManagerThe Corporate Finance Manager is a key member of the Corporate FP&A team, responsible for building and owning global cost models and business cases for enterprise-wide initiatives across corporate functions. Approximately 70% of the role is focused on developing investment cases, structuring cost frameworks, and supporting strategic decision-making for initiatives spanning multiple regions.In addition, the role owns ~30% responsibility for corporate close and reporting, including consolidation, variance analysis, and delivering insights on financial performance across global functions.This role partners closely with business units, technology, operations, and regional finance teams to translate complex initiatives into structured financial models, while also ensuring disciplined financial reporting, transparency, and governance.The Corporate Finance Manager will lead and own the development of standardized, scalable cost frameworks and business cases, and provide clear, actionable insights to senior leadership. The role also plays a critical part in explaining financial results, identifying key drivers of variance, and ensuring alignment between plan, forecast, and actual performance.The ideal candidate brings strong FP&A expertise, with deep experience in building and evaluating business models, investment cases, and cost structures for large-scale initiatives, along with a solid foundation in financial reporting, close processes, and variance analysis.Key ResponsibilitiesBuild and maintain scalable, global cost models for business initiatives across regions and functionsPartners with business, technology, and operations teams to translate complex initiatives into structured financial modelsDevelop end-to-end business cases, including investment sizing, ROI, NPV, IRR, and payback analysisDrive standardization of cost modeling frameworks, templates, and assumptions globallyDeliver executive-ready insights and reporting to support investment decisionsPerform scenario modeling and sensitivity analysis to identify risks and key cost driversEnable cross-functional and regional alignment on cost assumptions and financial outcomesSupport prioritization of competing initiatives through data-driven financial insightsIdentify opportunities to optimize cost structures and improve investment efficiencyBuild and enhance global FP&A capabilities related to initiative modeling and financial governanceCorporate Close, Reporting & Consolidation (~30%)Support and manage aspects of the monthly corporate close process for global functionsPerform financial consolidation and variance analysis (actuals vs plan/forecast)Partner with accounting and regional finance teams to ensure accurate and timely financial reportingAnalyze and explain key drivers of variances, providing clear insights to senior leadershipMaintain strong financial controls, governance, and reporting transparency across geographiesBasic QualificationsBachelor's degree in Finance, Accounting, Economics, or a related field8-12+ years of experience in FP&A, corporate finance, or strategic financeStrong experience in financial modeling and business case developmentExperience supporting cross-functional or business initiativesAdvanced proficiency in Excel and financial modeling toolsStrong analytical and problem-solving skillsAbility to communicate financial concepts clearly to non-finance stakeholdersExperience working in a matrixed and collaborative environmentKey CompetenciesStrategic thinking and business acumenStrong analytical and problem-solving skillsExperience in technology, digital transformation.Exposure to global financial operations (multi-region / multi-entity)Ability to influence senior stakeholdersMBA, CPA, CFA, or equivalent
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