Finance Manager – FP&A
Salary: $125,000 – 150,000
Why This Opportunity Stands Out:
• Enterprise‑level FP&A role with direct exposure to the CEO, CFO, ownership, lenders, and investors
• Operate at a holdings / investment‑company level, not just division‑level reporting
• Own how multiple operating divisions roll up into a consolidated portfolio view
• High visibility in capital allocation, liquidity planning, and investment return analysis
• Opportunity to design FP&A standards, models, dashboards, and reporting frameworks from the top down
• Blend strategic modeling with real‑world investment and development decision‑making
• Potential people leadership and cross‑functional project leadership exposure
• Dynamic environment suited for finance professionals who want influence, ownership, and growth
• Operate at a holdings / investment‑company level, not just division‑level reporting
• Own how multiple operating divisions roll up into a consolidated portfolio view
• High visibility in capital allocation, liquidity planning, and investment return analysis
• Opportunity to design FP&A standards, models, dashboards, and reporting frameworks from the top down
• Blend strategic modeling with real‑world investment and development decision‑making
• Potential people leadership and cross‑functional project leadership exposure
• Dynamic environment suited for finance professionals who want influence, ownership, and growth
Key Responsibilities for the Finance Manager – FP&A:
• Lead consolidated forecasting, planning, and long‑range financial modeling across operating divisions
• Aggregate division results into a single, investment‑company view with clear insights and recommendations
• Build and maintain portfolio‑level dashboards covering returns, capital deployed, liquidity, and fair value
• Define corporate FP&A templates, assumptions, reporting calendars, and forecasting standards
• Partner with Accounting and Treasury on capital planning, liquidity forecasting, and financing analysis
• Support executive leadership with ad hoc analysis, strategic initiatives, and investment evaluations
• Aggregate division results into a single, investment‑company view with clear insights and recommendations
• Build and maintain portfolio‑level dashboards covering returns, capital deployed, liquidity, and fair value
• Define corporate FP&A templates, assumptions, reporting calendars, and forecasting standards
• Partner with Accounting and Treasury on capital planning, liquidity forecasting, and financing analysis
• Support executive leadership with ad hoc analysis, strategic initiatives, and investment evaluations
Qualifications for the Finance Manager – FP&A:
• Bachelor’s degree in Finance, Accounting, Economics, or related field (MBA preferred)
• 5–10 years of FP&A, corporate finance, or investment analysis experience in a multi‑entity environment
• Strong experience with consolidated forecasting, scenario analysis, and capital allocation
• Advanced Excel modeling skills; experience with BI, Vena, or similar tools a plus
• 5–10 years of FP&A, corporate finance, or investment analysis experience in a multi‑entity environment
• Strong experience with consolidated forecasting, scenario analysis, and capital allocation
• Advanced Excel modeling skills; experience with BI, Vena, or similar tools a plus
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