We are seeking a talented individual to join our team at Marsh as a Senior Manager, Financial Planning and Analysis for our Corporate FP&A team based out of our New York, NY office.
This is a hybrid role that requires working at least three days a week in the office. This position will report to the Head of Financial Strategy & Analysis in MMC Corporate FP&A and also provide some support to the Head of Corporate FP&A Reporting and Consolidations.
We will count on you to:- Execute analytical projects that generate insights for senior management on a diverse range of FP&A topics
- Create compelling, impactful presentations to assist in senior management communications and driving outcomes with the Board of Directors, Executive Committee, Finance Leadership Team, and CEOs and CFOs of our businesses
- Conduct analyses and projects that contextualize MMC financial planning with both industry data and competitor performance
- Perform portfolio optimization and capital allocation analytics to provide insights on value creation
- Monitor, summarize and produce analyses on macro-economic indicators to help shape strategy, budget, forecast and earnings processes
- Build and maintain financial analytical models to answer questions, perform scenario analyses, and guide decision making
- Execute compelling competitor analyses that drive insight for senior management and facilitate decision making
- Provide support to corporate FP&A consolidations team on key earnings deliverables
- Lend occasional support to FP&A consolidations team, given availability, on monthly results reporting and outlook
- Participate at times, in group peer reviews of select monthly and quarterly corporate consolidations deliverables related to forecasts, earnings calls and EC / Board meetings
- Provide support on requests received from other finance and non-finance functions for analysis and presentations - Treasury, Controllership, Communications, Legal, HR
- Assist in the preparation of annual budget targets for the businesses, learn to update the long-term forecasting model
What you need to have:- Bachelor's Degree with a concentration in Finance, Accounting or Economics required
- A minimum of 5 years of experience in Finance and/or Accounting
- Advanced proficiency with excel, PowerPoint
- Familiarity with financial data providers (FactSet, Bloomberg, Capital IQ)
- Financial modeling skills in excel
- Experience with Hyperion Planning, Essbase, and Oracle Financials preferred
- Strong writing abilities with emphasis on facility in crafting narratives around financial results and analyses
What makes you stand out:- MBA, CPA, CFA, or other master's level Finance/Accounting Degree.
- Experience in equity or fixed income research, financial and strategy consulting, or investment banking, with a concentration in Professional Services and P&C insurance sector being a plus
- Experience in the P&C insurance sector as a broker, underwriter, or actuary
- Familiarity with predictive analytics / AI tools
- Advanced proficiency with Excel and PowerPoint, along with familiarity with financial data providers (FactSet, Bloomberg, Capital IQ)
This is a hybrid role that requires working at least three days a week in the office.
The applicable base salary range for this role is $115,200 to $230,000.
The base pay offered will be determined on factors such as experience, skills, training, location, certifications, education, and any applicable minimum wage requirements. Decisions will be determined on a case-by-case basis. In addition to the base salary, this position may be eligible for performance-based incentives.
We are excited to offer a competitive total rewards package which includes health and welfare benefits, tuition assistance, 401K savings and other retirement programs as well as employee assistance programs.