Business Controller & Analyst to VCT Europe
Are you a commercially minded finance professional who enjoys turning data into insights that drive business performance? If you’re looking for a role where you can combine FP&A, business partnering, and commercial finance in an international environment, this could be the opportunity for you!
About VCT Europe
VCT Europe is the European business of Viña Concha y Toro, one of the world’s leading wine companies. We specialize in the import, distribution, and marketing of a portfolio of renowned wine brands across several European markets, including the UK, Ireland, and the Nordic countries.
With a broad portfolio and extensive industry experience, we combine international scale with deep local market expertise to grow our brands and create long-term value for both our customers and consumers.
About the Role
On behalf of VCT Europe, we are now looking for a Business Controller & Analyst to join the Finance team in Stockholm.
Reporting to the Head of FP&A, you will play a key role in supporting the Nordic and Distributor business through high-quality financial planning, forecasting, and commercial analysis. You will own the financial models, reporting, and insights that support strategic decision-making, while partnering closely with stakeholders across Finance, Sales, Marketing, and Supply Chain.
This is a hands-on role combining FP&A and Commercial Finance, where you will take ownership from analysis to delivery. You will build robust financial models, evaluate business opportunities, identify risks and opportunities, and provide recommendations that improve profitability and business performance.
The role is ideal for someone who thrives in a dynamic commercial environment, enjoys working close to the business, and is motivated by creating tangible impact through data-driven financial insights.
Key focus areas
- Own and drive the monthly forecasting process while supporting the annual budgeting and planning cycle, ensuring reliable and actionable financial forecasts.
- Partner closely with Sales, Marketing, and Supply Chain teams, providing commercial insights and financial analysis that support business decisions and challenge assumptions.
- Build and maintain driver-based financial models covering sales, pricing, mix, FX, logistics, and costs to improve forecasting accuracy and business understanding.
- Deliver insightful profitability analysis across customers, brands, and channels, identifying opportunities to improve margins and commercial performance.
- Develop and evaluate business cases for new products, commercial initiatives, and strategic investments, while monitoring performance against assumptions.
- Prepare monthly management reporting and Business Reviews, translating financial data into clear recommendations for senior stakeholders.
- Drive continuous improvements in forecasting, reporting, automation, and data quality by leveraging tools such as Power BI, Power Query, and Anaplan.
Who are we looking for?
To succeed in this role, you are a commercially minded and analytical finance professional who enjoys working closely with the business and translating financial data into actionable insights. You are proactive, curious, and confident challenging assumptions while building strong relationships across functions.
You thrive in a hands-on environment where you are expected to take ownership, work independently, and deliver high-quality analysis with attention to detail. At the same time, you have the ability to step back, understand the bigger picture, and communicate complex financial information in a clear and engaging way.
You are driven by creating business impact, enjoy influencing stakeholders through data and insights, and are motivated by working in an international organization with high ambitions.
Qualifications
- Bachelor’s degree in Finance, Economics, Business Administration, or a related field.
- 4+ years of experience within FP&A, Commercial Finance, Business Controlling, or a similar analytical finance role.
- Experience from an FMCG or other commercial business environment.
- Advanced Excel skills and strong financial modelling capabilities.
- Strong analytical skills with a commercial mindset and the ability to translate data into business recommendations.
- Excellent communication and stakeholder management skills with the ability to influence decision-making across functions.
- Fluent in English, both written and spoken.
- Experience working with planning and reporting tools such as Power BI, Power Query, and Anaplan is considered an advantage.
Ready to join?
In this role, you will have the opportunity to work at the heart of the business, partnering with commercial teams and senior stakeholders to influence key decisions and drive financial performance. You will join an international organization where Finance plays a strategic role, giving you significant ownership, visibility, and the opportunity to make a tangible impact from day one.
Please note that we do not accept applications by e-mail due to GDPR.
Stad
Stockholm