James Traynor work email
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James Traynor personal email
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I am a CIMA-qualified Commercial Finance leader with extensive experience of effectively engaging business functions and bringing clarity to financial data analysis to ensure business decisions are informed and supported.I have broad Finance experience and strong commercial awareness, able to interpret and present business outcomes for both financial and non-financial stakeholders; communicating across all levels and functions of businesses to present high quality insightful analysis to senior stakeholders on financial KPI's. I am comfortable engaging with key stakeholders and acting as a trusted advisor to facilitate support for strategic objectives and key business outcomes, whilst identifying risks and opportunities in budgeting and forecasting tracking, financial modelling and scenario planning.I consider myself someone who has the breadth of experience to add value to any business by designing and developing specialist training on financial systems and best practice processes for frontline staff to drive improvements and ensure that tangible business benefits are delivered.Specialties:✔️Business Partnering ✔️ Budgeting / Forecasting ✔️Data Analysis ✔️Reporting ✔️Cost Control ✔️Scenario Planning ✔️Business Case Analysis ✔️Change Management ✔️Process Reengineering ✔️System Design / Implementation ✔️Stakeholder Management ✔️Constructive Challenge / Negotiation ✔️Team Leadership ✔ Training
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Co-FounderProcast May 2023 - Present -
Fp&A & Commercial Finance Manager (Interim)Pepco Group Limited Jun 2021 - PresentLondon, Gb -
Commercial Finance Manager (Interim)River Island Jan 2021 - Jun 2021London, Gb -
Head Of Commercial Finance (Interim)Dmg Events Feb 2020 - Nov 2020Dubai, Dubai, AeCrucial business partner to the President and 9x Vice-Presidents of a typically £65m turnover business during an extraordinarily uncertain time for the business with minimal projected revenue in the short term.▪️ COVID-19: Modelled switching events to virtual or hybrid formats; impact of cancellations, presented different scenarios for two phases of redundancies, implemented new spending policies, presented financials for business case on central content platform to generate online subscription revenue to mitigate company performance downside.▪️ Directed challenging budgeting process for upcoming financial year, with in-depth scenario planning and multiple version restatements as the economic climate was continuously changing across the globe, presenting final submission to the CFO and CEO.▪️ Oversaw implementation of new finance system, key involvement in successful COVID-19 insurance claim with eventual pay out of £15m, remodelled sales commission incentive schemes across the business, facilitated weekly performance reporting, led month end process including commentary for monthly management pack for President, CFO and CEO. -
Senior Finance Manager (Interim)Arcadia Group Ltd Aug 2019 - Feb 2020London, GbBusiness partnering with the Supply Chain Director to manage and control logistics related spend (cost base £125m) through a period of enormous change - exiting a long term contract with existing 3rd party logistics provider and consolidating operations and stock by brand to new Arcadia owned and operated national distribution centre (DC).▪️ Discovered business process breakdown resulting in non-merchandise suppliers of new DC not being paid, designed bespoke purchase order process, promoted concept from warehouse operations through DC on-site finance team to the CEO for approval, implemented and published process, trained relevant teams, pushed through expedited payments with treasury to ensure supplier services continued undisrupted.▪️ Analysed and presented dashboard of weekly and monthly DC costs and productivity performance to Leadership Team. -
Commercial Finance Manager (Interim)Jack Wills May 2019 - Aug 2019London, London, GbBusiness partnering with the Merchandising Director, Retail Director and E-commerce Director to manage sales and gross margin (turnover £130m) through a challenging period of uncertainty during the market and sale of the business to new owners.▪️ Presented weekly high level trade performance updates to the entire head office, then in more detail separately to the CEO, CFO and Directors outlining sales, gross margin and stock position by channel and category.▪️ Led and delivered a crucial budget reforecast working closely with the most senior decision makers in the business, the resulting figures of which were presented in a pack to 20+ external investors for the sale of the company.▪️ Identified area of improvement in existing promotional performance tracking, worked closely with IT to extract large raw transactional data, validated and reconciled to finance reports, added insight through meaningful charts and clarity through a live demonstration to the trading teams on a weekly basis. -
Commercial Finance ManagerDmg Events Apr 2016 - May 2019Dubai, Dubai, AeBusiness partnering with Event Directors and Heads of Departments to manage the sales, costs and profitability of events, turning over £65m per year. Key involvement in annual budgeting and quarterly forecasting process, ensuring sales and costs tracked against targets; delivered revenue and profit analysis and managed accruals and deferrals following events.▪️ Generated comprehensive monthly financial packs and presented to Vice Presidents highlighting risks and opportunities, including performance reporting with commentary.▪️ Line managed a trainee management accountant; recruited a second line report for extra support and led business training sessions on finance systems, including best practice of purchase order process. -
Finance Analyst - Property & EstatesMarks And Spencer Dec 2014 - Apr 2016London, London, GbBusiness partnering with estates, acquisitions, legal, maintenance and energy teams to manage property related costs (cost base of £800m per year). Developed quarterly cost forecasts with monthly comparison to actuals to maintain cost control and track performance against cost challenges; produced property related reports, incorporated in the monthly UK Property Board pack distributed to the CEO, CFO and Directors. Provided financial support across wider business, such as providing advice on treatment of costs, non-merchandise purchase orders, raising invoices and posting journals.▪️ Analysed economic drivers of commercial property performance; assessing financial opportunities and risks in the form of rent reviews, lease renewals and break clauses.▪️ Managed increases, utilisations and releases to £50m of property related provisions for dilapidations, onerous leases and sublet shortfalls from a portfolio of 550 sites. -
Finance Analyst - FoodMarks And Spencer Apr 2013 - Dec 2014London, London, GbBusiness partnering wth Buyers and Trading Managers to manage multiple category level P&L down to gross profit (trading area sales of £1.8b per year). Provided financial support across the wider business, including advice on merchandise purchase orders, goods receipting, vendor invoicing, waste and stock loss. Developed quarterly sales, margin and profit forecasts with weekly comparison to trade actuals to maintain and track commercial performance and identify risks.▪️ Extracted, interpreted and presented product, pricing and promotion data to provide financial insight to commercial teams and drive more informed decision making.▪️ Promoted new financial reporting system usage to commercial teams through one‐on‐one and group training in extraction of sales, margin and profit data using SAP Business Objects. -
Supply Chain Planner - FoodMarks And Spencer Aug 2011 - Apr 2013London, London, GbResponsible for management of end-to-end supply chain for the Biscuits and Confectionery departments, worth £130m a year, comprising of 30 suppliers and 300 product lines. Maintained stock cover and optimised availability for products at National Distribution Centre (NDC); overseeing forecasts and orders, communicating potential waste issues to category teams.▪️ Created and implemented new stock trackers for measuring KPI’s; ensuring supplier conformance and challenging suppliers on delivery lead times and minimum order quantities of stock. ▪️ Formulated multiple innovative new processes, including tools for efficient spread of excess stock to stores using current stock and average sales by store, regulating product life in and out of NDC. -
Supply Chain Planning AssistantMarks And Spencer Mar 2011 - Aug 2011London, London, GbInvolved assisting the supply chain planners and forecast inventory planners in achieving the efficient flow of grocery and household stock from suppliers; through DC's and into stores.• The maintaining of accurate and timely data• Instigating best practices of data management• General administrative support such as communicating to and managing queries from stores and suppliers
James Traynor Skills
James Traynor Education Details
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The Chartered Institute Of Management Accountants -
Deakin UniversityFinance And Economics -
Catholic Regional College
Frequently Asked Questions about James Traynor
What company does James Traynor work for?
James Traynor works for Procast
What is James Traynor's role at the current company?
James Traynor's current role is Co-Founder at Procast.
What is James Traynor's email address?
James Traynor's email address is ji****@****ail.com
What schools did James Traynor attend?
James Traynor attended The Chartered Institute Of Management Accountants, Deakin University, Catholic Regional College.
What skills is James Traynor known for?
James Traynor has skills like Financial Analysis, Microsoft Excel, Budgets, Financial Reporting, Analysis, Teamwork, Finance, Managerial Finance, Accounting, Supply Chain, Management, Customer Service.
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