Corporate FP&A Lead

Posted 4ds ago

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Job Description

Corporate FP&A Lead role in a fast-growing marketplace. Responsibility for financial modeling and forecasting across key business areas.

Responsibilities:

  • Own and maintain the consolidated corporate financial model, serving as the single source of truth across revenue, headcount, and expense lines
  • Build and maintain long-range plans (LRPs) and annual operating plans (AOPs) using both tops-down strategic frameworks and granular bottoms-up drivers
  • Ensure GAAP-compliant treatment across all model assumptions; partner with Accounting to reconcile actuals and maintain integrity between ERP outputs and financial models
  • Deliver monthly variance analysis with clear root-cause explanations. Not just what changed, but why and what it means for the business
  • Prepare precise, board- and investor-ready financial presentations; own accuracy of all financial health metrics presented externally
  • Work with Accounting, Strategic Finance, and Operations Leaders to identify and resolve discrepancies between financial systems, ensuring clean data flows
  • Build scalable operational frameworks and process documentation that bring clarity to how financial information flows through the organization
  • Own end-to-end documentation of all finance related workflows, capturing each step, data transfer, system touchpoint, dependency, handoff, and control point with exceptional granularity
  • Use SQL to independently extract, interrogate, and validate financial and operational datasets from source systems
  • Partner with Finance and Accounting on deep-dive investigations, root-cause analyses, and redesign efforts for complex or high-impact workflows

Requirements:

  • 6+ years of FP&A, financial consolidations, strategic finance, or management consulting experience
  • Deep understanding of GAAP accounting principles and how they translate into model assumptions, variance analysis, and financial reporting
  • Hands-on experience with ERP and financial planning systems (e.g. NetSuite, Workday, Adaptive, Anaplan, Pigment)
  • Ability to use or learn data-pulling tools such as Metabase, Hex, Snowflake
  • Proven ability to run both tops-down LRP/AOP processes and granular bottoms-up monthly forecasting cycles
  • Exceptional attention to detail: you catch errors other miss, and you build processes designed to prevent them from recurring
  • Strong written communication skills. You can distill complex financial information into crisp, executive-ready narratives.
  • Experience at a high-growth marketplace, SaaS, or two-sided platform business is preferred.
  • Exposure to investor reporting or board-level financial presentations is preferred.
  • 10+ years of FP&A, financial consolidations, strategic finance, or management consulting is preferred.

Benefits:

  • Offers Equity