FP&A Consultant (Heavy Capex / Construction / Infrastructure)
Private Equity Backed
Predominately remote (London sometimes)
Outside IR35
Role Overview
We are seeking a highly experienced FP&A Consultant to take ownership of financial modelling and board-level financial reporting for a complex, capital-intensive construction and infrastructure business undergoing a private equity exit process.
This is a hands-on, specialist role focused on building and maintaining high-quality financial models and delivering professional, board-ready financial analysis. The primary initial deliverable is the creation of a new, best-in-class board pack, brought fully in-house and aligned with the standards expected by investors, lenders, and directors.
The successful candidate will replace an externally prepared, junior-level board pack with robust, insightful reporting, establish proper actuals vs budget tracking and variance analysis, and act as the core financial modelling resource for the business during a period of rapid change.
Key Responsibilities
- Board Pack Ownership & Reporting
- Design and deliver a new board pack that meets professional board and private equity standards.
- Bring board pack preparation in-house, replacing the current externally produced materials.
- Establish clear, consistent processes for:
- Actuals vs budget tracking
- Variance analysis with meaningful commentary
- Cash flow visibility and forward-looking insights
- Ensure reporting reflects senior-level financial judgment, not junior or newly-qualified output.
- Produce materials the board can rely on for decision-making in a fast-moving environment.
Financial Modelling & Analysis
- Build and maintain best-in-class financial models, including:
- Detailed three-statement models
- Integrated cash flow forecasting models
- Capex-heavy project and construction cash flow models
- Take over and further develop the cash flow forecasting function currently being built externally, improving speed, accuracy, and usability.
- Model and analyse complex capital structures, including:
- Partial asset or equity sales
- New debt facilities
- Bridge equity and interim funding arrangements
- Support ongoing financial analysis requirements throughout the private equity exit process, despite frequent changes to assumptions and structure.
Private Equity & Transaction Support
- Operate effectively in a private equity environment, understanding the demands of:
- Equity raises
- Debt raises and refinancing
- Investor and lender reporting
- Rapidly update models and analysis as deal structures, timelines, and assumptions evolve.
- Partner closely with senior leadership to ensure financial outputs remain consistent, credible, and decision-useful.
Stakeholder Collaboration
- Work closely with the hiring manager and senior leadership as a trusted modelling and analysis partner.
- Clearly articulate model logic, assumptions, and outputs to non-technical stakeholders.
- Be able to walk through financial models in detail, both internally and during interviews.
Required Experience & Skills
Essential
- Exceptional financial modelling capability – this is the core requirement for the role.
- Proven experience building sophisticated, audit-ready models in capital-intensive businesses.
- Strong background in private equity environments, including exposure to complex financing structures.
- Experience producing board-level financial reporting that meets institutional standards.
- Deep understanding of cash flow dynamics in construction or infrastructure contexts.
- Ability to work accurately and decisively in a fast-changing, transaction-driven context.
Industry Background (Strongly Preferred)
- Construction
- Property infrastructure
- Energy or other heavy capex industries
Personal Attributes
- Highly detail-oriented with strong commercial judgment
- Comfortable operating independently as a specialist
- Able to impose structure and discipline on financial processes
- Confident engaging with senior stakeholders and board members
- Pragmatic, solutions-focused, and able to move quickly without sacrificing quality
What Success Looks Like
- A professional, credible board pack that reflects board-level standards and replaces junior-quality external reporting.
- Robust, transparent financial models that leadership and investors can rely on.
- Effective actuals vs budget tracking and variance analysis embedded into regular reporting.
- A streamlined, accurate cash flow forecasting process owned internally.
- The ability to respond quickly and confidently to evolving private equity and transaction requirements.