FP&A Analyst/Manager
Drive strategic decisions in a PE-backed SaaS company. As FP&A Analyst, turn data into insights, shape growth, and gain exposure to M&A and top-level financial planning.
Finance at the core of strategy
Are you a problem solver who enjoys diving into financial data and supporting strategic decision-making through analysis and insight? If you're looking to grow your career and make an impact on our international SaaS journey as our new FP&A Analyst/Manager, we’d love to hear from you.
Papirfly is a PE-backed B2B SaaS company with a leading MarTech product. As FP&A Analyst/Manager, you will support our strategic finance work and collaborate closely with senior finance leaders on key planning and forecasting processes. Ideal candidates have experience from M&A advisory, strategic management consulting, Audit or similar FP&A/Finance roles and have a keen interest in honing their skills in strategic finance.
As an FP&A Analyst/Manager working out of our Oslo office you won't just be crunching numbers; you will be a key contributor to shaping the Papirfly equity story. Working at the heart of our international SaaS operations, you will assist on precise assessments and reporting of performance on financial metrics, and deliver strategic analyses to enable important business decisions, building towards an eventual M&A exit.
This role is a great opportunity for ambitious finance professionals who want to develop deep analytical and strategic skills in a fast-paced, international environment. You’ll become part of a vibrant and global technology company and gain hands-on experience that will set you on the path toward future strategic finance roles.
Key Responsibilities
Support the development and maintenance of long-range financial models to inform global growth planning.
Assist in the coordination and execution of the annual budgeting and planning process.
Collaborate with cross-functional teams to operationalise and optimise financial plan.
Prepare monthly reporting packs and performance updates for senior management and the Board of Directors.
Conduct financial analysis and modelling to support strategic and operational decision making.
Contribute to financial due diligence and data preparation for investment, merger, and acquisition evaluations.
Build and maintain financial forecasting models focussed on revenue, expenses and profitability.
Improve data accuracy and timeliness.
Knowledge and Experience Required
2-4 years of relevant working experience. However, exceptional candidates with less experience are also encouraged to apply.
Strong analytical and quantitative problem solving skills.
Skills to communicate complex ideas effectively.
Experience with quantitative and strategic analyses.
Experience with any of the following is positive, but not required: Financial statement analysis, financial forecasting, accounting principles, M&A.
Higher education at master’s level within economics, finance, industrial economics, accounting or other relevant subjects.
Excellent proficiency in MS Excel and PowerPoint (or similar office suites).
Fluent in English, both written and spoken, as well as one other Scandinavian language.
If the role seems interesting, we would love to hear from you before the application deadline Monday 6th of April 2026 23:59 (CET). Applications will be reviewed on a rolling basis.
- Department
- Administration
- Locations
- Oslo
Oslo
About Papirfly
Papirfly is a European SaaS leader in Digital Asset Management and On-brand Content Creation, serving over 1 million users across more than 1,500 of the world’s most recognized brands.