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Interim FP&A Business Partner
<h6> </h6><p>For one of Protiviti's clients, a fast-growing international e-commerce organization, we are seeking an experienced <strong>FP&amp;A Business Partner (m/v/x)</strong> with a strong focus on <strong>cash flow forecasting, liquidity management, financial planning, and advanced financial modeling</strong>.</p><p>In this high-impact interim role, you will partner closely with Finance leadership and key business stakeholders to strengthen financial visibility, improve cash forecasting accuracy, and support strategic decision-making in a dynamic, data-driven environment.</p><p><strong>Key Responsibilities</strong></p><p><span style="text-decoration: underline;">Cash Flow Forecasting &amp; Liquidity Management</span></p><ul><li>Own and continuously improve short-, medium-, and long-term cash flow forecasts.</li><li>Develop robust liquidity planning models to support operational and strategic decision-making.</li><li>Analyze cash drivers across working capital components, including accounts receivable, accounts payable, inventory, and payment flows.</li><li>Monitor actual cash performance against forecasts and proactively identify deviations and risks.</li><li>Provide actionable recommendations to optimize cash conversion and working capital efficiency.</li></ul><p><span style="text-decoration: underline;">Financial Planning &amp; Analysis</span></p><ul><li>Partner with business leaders to support forecasting, budgeting, and scenario planning activities.</li><li>Deliver insightful financial analyses that translate complex data into clear business recommendations.</li><li>Build and maintain driver-based forecasting models to support growth initiatives and operational planning.</li><li>Support monthly, quarterly, and annual planning cycles.</li><li>Prepare management reporting and present financial insights to senior stakeholders.</li></ul><p><span style="text-decoration: underline;">Financial Modeling &amp; Business Partnering</span></p><ul><li>Develop advanced financial models to evaluate business performance, investments, and strategic initiatives.</li><li>Perform sensitivity analyses and scenario modeling to assess risks and opportunities.</li><li>Collaborate with Commercial, Operations, Supply Chain, and Finance teams to understand key business drivers.</li><li>Challenge assumptions and provide data-driven recommendations to improve financial performance.</li><li>Support ad-hoc projects related to profitability, growth, and cash optimization.</li></ul><p><strong>Required Experience &amp; Skills</strong></p><ul><li>Bachelor's or Master's degree in Finance, Accounting, Economics, or a related field</li><li>Minimum 7 years of experience within FP&amp;A, Corporate Finance, Financial Controlling, or Business Partnering roles</li><li>Proven experience with <strong>cash flow forecasting, treasury-related planning, and liquidity management</strong></li><li>Strong expertise in <strong>financial modeling, scenario analysis, and forecasting methodologies</strong></li><li>Experience within <strong>e-commerce, retail, consumer goods, or other fast-paced commercial environments</strong> is highly preferred</li><li>Advanced Excel skills; experience with FP&amp;A and BI tools such as Power BI, Tableau, Anaplan, Adaptive Planning, or similar</li><li>Strong analytical mindset combined with excellent stakeholder management skills</li><li>Hands-on, proactive, and able to quickly create impact in a changing environment</li><li>Fluent in English</li></ul><h2> </h2><p><strong>Assignment Details</strong></p><ul><li><strong>Role:</strong> Interim FP&amp;A Business Partner</li><li><strong>Sector:</strong> E-commerce</li><li><strong>Location:</strong> Amsterdam</li><li><strong>Start Date:</strong> ASAP</li><li><strong>Duration:</strong> Minimum 3 months (with potential extension)</li><li><strong>Work Schedule:</strong> Full-time</li><li><strong>On-site Presence:</strong> Minimum 3 days per week</li><li><strong>Engagement Type:</strong> Freelance / Interim</li></ul><p><strong>Interested?</strong></p><p>Are you the <strong>FP&amp;A Business Partner </strong>our client is looking for in Amsterdam? Please let uw know by clicking the ''solliciteer nu / apply now'' button. </p><p><em>Robert Half Nederland B.V. en Robert Half International B.V. verwerken de gegevens van sollicitanten die nodig zijn om de sollicitatieprocedure uit te voeren. Meer informatie over gegevensbescherming, in het bijzonder over uw rechten, vindt u op </em><em><a href="https://nam02.safelinks.protection.outlook.com/?url=https://www.roberthalf.nl/nl/privacyverklaring&amp;data=04|01|[email protected]|56cb8534b89446420eb408d9e4c65590|16532572d5674d678727f12f7bb6aed3|0|0|637792362770669701|Unknown|TWFpbGZsb3d8eyJWIjoiMC4wLjAwMDAiLCJQIjoiV2luMzIiLCJBTiI6Ik1haWwiLCJXVCI6Mn0=|3000&amp;sdata=TuGWIRvffv0EF7Cc6bKJUI9/Of9BcvO9340/p1cipbg=&amp;reserved=0">https://www.roberthalf.nl/nl/privacyverklaring</a></em><em>. Indien u vragen heeft omtrent de verwerking van uw persoonsgegevens kan u steeds contact met ons opnemen via </em><em><a href="mailto:[email protected]">[email protected]</a></em><em>.</em></p><img src="https://counter.adcourier.com/Um9iZXJ0SGFsZi44MzE1OC4xMDkxN0ByaGlubC5hcGxpdHJhay5jb20.gif">
  • Amsterdam, Noord-Holland
  • remote
  • Flexible
  • - EUR / Yearly
  • <h6> </h6><p>For one of Protiviti's clients, a fast-growing international e-commerce organization, we are seeking an experienced <strong>FP&amp;A Business Partner (m/v/x)</strong> with a strong focus on <strong>cash flow forecasting, liquidity management, financial planning, and advanced financial modeling</strong>.</p><p>In this high-impact interim role, you will partner closely with Finance leadership and key business stakeholders to strengthen financial visibility, improve cash forecasting accuracy, and support strategic decision-making in a dynamic, data-driven environment.</p><p><strong>Key Responsibilities</strong></p><p><span style="text-decoration: underline;">Cash Flow Forecasting &amp; Liquidity Management</span></p><ul><li>Own and continuously improve short-, medium-, and long-term cash flow forecasts.</li><li>Develop robust liquidity planning models to support operational and strategic decision-making.</li><li>Analyze cash drivers across working capital components, including accounts receivable, accounts payable, inventory, and payment flows.</li><li>Monitor actual cash performance against forecasts and proactively identify deviations and risks.</li><li>Provide actionable recommendations to optimize cash conversion and working capital efficiency.</li></ul><p><span style="text-decoration: underline;">Financial Planning &amp; Analysis</span></p><ul><li>Partner with business leaders to support forecasting, budgeting, and scenario planning activities.</li><li>Deliver insightful financial analyses that translate complex data into clear business recommendations.</li><li>Build and maintain driver-based forecasting models to support growth initiatives and operational planning.</li><li>Support monthly, quarterly, and annual planning cycles.</li><li>Prepare management reporting and present financial insights to senior stakeholders.</li></ul><p><span style="text-decoration: underline;">Financial Modeling &amp; Business Partnering</span></p><ul><li>Develop advanced financial models to evaluate business performance, investments, and strategic initiatives.</li><li>Perform sensitivity analyses and scenario modeling to assess risks and opportunities.</li><li>Collaborate with Commercial, Operations, Supply Chain, and Finance teams to understand key business drivers.</li><li>Challenge assumptions and provide data-driven recommendations to improve financial performance.</li><li>Support ad-hoc projects related to profitability, growth, and cash optimization.</li></ul><p><strong>Required Experience &amp; Skills</strong></p><ul><li>Bachelor's or Master's degree in Finance, Accounting, Economics, or a related field</li><li>Minimum 7 years of experience within FP&amp;A, Corporate Finance, Financial Controlling, or Business Partnering roles</li><li>Proven experience with <strong>cash flow forecasting, treasury-related planning, and liquidity management</strong></li><li>Strong expertise in <strong>financial modeling, scenario analysis, and forecasting methodologies</strong></li><li>Experience within <strong>e-commerce, retail, consumer goods, or other fast-paced commercial environments</strong> is highly preferred</li><li>Advanced Excel skills; experience with FP&amp;A and BI tools such as Power BI, Tableau, Anaplan, Adaptive Planning, or similar</li><li>Strong analytical mindset combined with excellent stakeholder management skills</li><li>Hands-on, proactive, and able to quickly create impact in a changing environment</li><li>Fluent in English</li></ul><h2> </h2><p><strong>Assignment Details</strong></p><ul><li><strong>Role:</strong> Interim FP&amp;A Business Partner</li><li><strong>Sector:</strong> E-commerce</li><li><strong>Location:</strong> Amsterdam</li><li><strong>Start Date:</strong> ASAP</li><li><strong>Duration:</strong> Minimum 3 months (with potential extension)</li><li><strong>Work Schedule:</strong> Full-time</li><li><strong>On-site Presence:</strong> Minimum 3 days per week</li><li><strong>Engagement Type:</strong> Freelance / Interim</li></ul><p><strong>Interested?</strong></p><p>Are you the <strong>FP&amp;A Business Partner </strong>our client is looking for in Amsterdam? Please let uw know by clicking the ''solliciteer nu / apply now'' button. </p><p><em>Robert Half Nederland B.V. en Robert Half International B.V. verwerken de gegevens van sollicitanten die nodig zijn om de sollicitatieprocedure uit te voeren. Meer informatie over gegevensbescherming, in het bijzonder over uw rechten, vindt u op </em><em><a href="https://nam02.safelinks.protection.outlook.com/?url=https://www.roberthalf.nl/nl/privacyverklaring&amp;data=04|01|[email protected]|56cb8534b89446420eb408d9e4c65590|16532572d5674d678727f12f7bb6aed3|0|0|637792362770669701|Unknown|TWFpbGZsb3d8eyJWIjoiMC4wLjAwMDAiLCJQIjoiV2luMzIiLCJBTiI6Ik1haWwiLCJXVCI6Mn0=|3000&amp;sdata=TuGWIRvffv0EF7Cc6bKJUI9/Of9BcvO9340/p1cipbg=&amp;reserved=0">https://www.roberthalf.nl/nl/privacyverklaring</a></em><em>. Indien u vragen heeft omtrent de verwerking van uw persoonsgegevens kan u steeds contact met ons opnemen via </em><em><a href="mailto:[email protected]">[email protected]</a></em><em>.</em></p><img src="https://counter.adcourier.com/Um9iZXJ0SGFsZi44MzE1OC4xMDkxN0ByaGlubC5hcGxpdHJhay5jb20.gif">
  • 2026-07-15T14:10:13Z

Interim FP&A Business Partner Job in Amsterdam, Noord-holland | Robert Half