FP&A Manager
Creditspring · London, United Kingdom · Hybrid
Posted Sep 28, 2026
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We are Creditspring, a new way of borrowing that focuses on its members and provides them with safe and efficient short-term financial products.
We're a fast-growing FCA-regulated consumer credit company. We have members, not customers and we take a lot of pride in that!
As one of the UK’s only subscription finance company in the market, we truly have a unique value proposition. Our mission is very clear; to improve the financial stability and resilience of our members. We do this through the products we provide, the partnerships we have, and our educational content. We want our members, and everyone in the UK to be able to better manage their finances and steer them away from high-cost, unregulated credit options.
About the role
Our planning capability has reached an important point in its development. We have built a plan that can reliably predict performance; the next step is to evolve this into a broader commercial decision-support capability that can support the business through its next phase, including a potential exit process.
Reporting to the Senior FP&A & Capital Markets Manager, this role will take ownership of the analytics that underpin some of our most important commercial decisions, from pricing and cohort economics to understanding the trade-offs between growth, profitability and losses. You will also strengthen our operating model so that it can withstand the demands of diligence, be rapidly rebuilt under multiple scenarios, and reconcile confidently to audited financials and lender reporting.
This is a deliberately commercial role. It is not simply about reporting performance or administering a budget. We are looking for someone who will develop a point of view, challenge assumptions and use data to influence decisions. You will turn the plan from a spreadsheet exercise into an operating discipline that helps shape how we run and grow the business.
Responsibilities
Own the integrated operating model. Take end-to-end ownership of the three-statement operating model, ensuring its integrity, documentation, version control and audit trail, with clear reconciliation to the general ledger, management reporting and lender reporting.
Lead planning and forecasting. Run the annual budget and reforecast cycles from assumption-setting through challenge and finalisation, partnering with the Head of FP&A and Capital Markets on key assumptions and plan sign-off.
Turn performance into insight. Own monthly actual versus plan analysis, identifying the underlying causes and commercial consequences of performance rather than simply reporting variances. Produce clear, decision-focused reporting for Exco and the Board.
Embed financial ownership across the business. Build and maintain department-level budgets, partner with functional leaders to understand performance against plan, and establish consistent KPI definitions across management, Board, lender and data reporting.
Own unit economics and pricing analytics . Develop…