Sr Manager, Financial Planning and Analysis
Lenovo
Why Work at Lenovo
Description and Requirements
Job Responsibilities:
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Business Strategy & Incubation
Formulate and execute financial strategies to accelerate hybrid cloud service growth
Collaborate with cross-departmental teams to evaluate and implement innovative business models
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Financial Infrastructure Development
Design robust financial control systems ensuring operational compliance and efficiency
Implement continuous process improvements for enhanced fiscal governance
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Investment Management & Performance Monitoring
Conduct comprehensive analysis of new product investments against strategic objectives
Establish real-time performance tracking mechanisms with actionable insights
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Comprehensive P&L Stewardship
Oversee complete financial operations including revenue streams and cost structures
Implement performance optimization strategies through detailed margin analysis
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Strategic Financial Planning
Develop dynamic forecasting models and budget frameworks
Prepare executive-level reports with data-driven business recommendations
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Cross-functional Collaboration
Act as financial consultant to technical and operational teams
Translate complex financial concepts for diverse stakeholder groups
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Risk Mitigation Planning
Develop proactive risk assessment frameworks for cloud operations
Create contingency plans for financial scenario planning
Job Requirements:
Proven experience (5+ years) in financial business partnering within technology sectors
Demonstrated success in cloud/SaaS financial management and business model development
Expertise in financial modeling with advanced Excel/ERP system capabilities
Strategic problem-solving skills with commercial acumen in tech environments
Strong communication skills for cross-cultural stakeholder engagement
Professional certification (CPA/CMA/CIMA preferred)
Bachelor's degree in Finance/Economics with MBA considered advantageous