Corporate FP&A Manager

Added
39 minutes ago
Type
Full time
Salary
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Related skills

forecasting financial modeling saas ai excel

πŸ“‹ Description

  • Own Balance Sheet and Cash Flows forecasting, integrated with Income Statement and operating
  • Manage Balance Sheet assumptions: AR/AP, accrued expenses, deferred revenue, fixed assets, leases
  • Develop explanations of free cash flow, working capital, forecast changes, risks and opportunities.
  • Collaborate with Accounting on results, close estimates, treatments, and material movements.
  • Ensure visibility into operating liquidity and deployable excess capital.
  • Improve cash conversion, collections, payment timing, and forecast accuracy.

🎯 Requirements

  • Strong accounting fundamentals; partner with Accounting and Controllership.
  • Financial modeling, analytics, problem-solving; executive-ready insights.
  • Knowledge of SaaS metrics, recurring revenue, unit economics, operating leverage.
  • Advanced Excel or equivalent, FP&A platforms, BI tools; experience with planning systems.
  • Experience with treasury/debt, M&A, board reporting is a plus.

🎁 Benefits

  • Flexible, remote and hybrid work options with generous vacation and recharge days.
  • Medical, dental, vision coverage; fertility benefits where eligible.
  • HSA/FSA options, employer-paid disability; retirement plans with employer matching.
  • Wellness initiatives, onsite gym or memberships, mental health resources.
  • Entrata Cares volunteer programs; various employee perks and swag.
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