- Experience
- 7+ yrs
- Salary
- —
- Openings
- 1
- Posted
- 16 hours ago
Where you'll work
Job description
Role Overview
A fast-scaling, venture-funded technology business is looking for an FP&A Manager to strengthen and expand its financial planning and analysis capability during a period of rapid growth. In this role, you will report to the CFO and help shape the models, forecasting routines, and reporting systems that guide company-wide decisions.
This position is well suited to someone who enjoys blending deep financial analysis with close collaboration across the business and wants to influence the direction of a high-growth organization.
Key Responsibilities
- Take ownership of the company’s financial model, rolling forecasts, annual budgeting, and long-range planning cycles.
- Run monthly and quarterly variance reviews between budget and actual results, and turn findings into practical recommendations for leaders.
- Work with department heads to assess spending, forecast operating costs, and support major strategic projects.
- Study core business metrics, customer unit economics, profitability patterns, and performance indicators to support evidence-based decisions.
- Contribute to pricing evaluations, resource-allocation choices, and financial models for new opportunities.
- Build board decks, investor-facing presentations, and executive-level analysis packs.
- Spot opportunities to streamline planning workflows, improve reporting, and strengthen the overall FP&A infrastructure.
- Act as a dependable partner to both finance and operational teams.
What Makes This Role Attractive
- High visibility with direct access to senior leadership.
- The chance to help design and scale a strong FP&A function from the ground up.
- Hands-on involvement in strategy, board reporting, and business planning.
- Join a growing venture-backed company with strong momentum.
- Enjoy a collaborative, entrepreneurial environment with meaningful career growth potential.
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or a closely related discipline.
- At least 7 years of experience in FP&A, strategic finance, investment banking, corporate finance, or a similar area.
- Proven background in budgeting, forecasting, financial modeling, and performance analysis.
- Advanced Excel skills and strong financial modeling capability.
- Exposure to ERP platforms such as NetSuite, along with FP&A or planning software.
- Strong analytical thinking, problem-solving ability, and communication skills.
- Comfort working independently in a fast-moving, high-growth setting.
- Experience in technology, fintech, SaaS, or another high-growth industry is preferred.
Eligibility
Applicants must be legally authorized to work in the United States.
Additional Information
This employer is a global specialized talent solutions firm that places candidates into contract, temporary, and permanent opportunities across finance and accounting, technology, marketing and creative, legal, administrative, and customer support functions.
Benefits for contract and temporary professionals include medical, vision, dental, life, and disability insurance, and eligibility to join a 401(k) plan. Free online training is also provided, along with access to job opportunities and notifications through the employer’s mobile app.
By submitting an application, candidates agree to the employer’s terms of use and privacy notice. The company is an equal opportunity employer and does not discriminate on the basis of protected characteristics.
Who This Role Suits
This opportunity is ideal for a finance professional who enjoys partnering with business leaders, building scalable planning processes, and contributing to decisions that affect growth, operations, and strategy.