Corporate Finance Manager
New
J
JobgetherTechnology
Based in United StatesFull-TimeManager
Salary not disclosed
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Job Details
- Experience
- 5+ years
- Required Skills
- Business AnalysisData visualizationNetSuite
Requirements
- 5+ years of experience in corporate finance and FP&A, ideally within a fast-paced, high-growth technology environment.
- Advanced financial modeling and business analysis capabilities.
- Strong foundational knowledge of finance and accounting principles.
- Demonstrated ability to analyze complex business problems and work effectively with large amounts of information.
- Ability to translate detailed analysis into clear, actionable business recommendations.
- Strong data visualization and executive communication skills.
- Demonstrated ability to collaborate effectively with stakeholders across multiple functions.
- Strong systems aptitude and the ability to learn and adapt quickly to new financial and operational tools.
- Exceptional attention to detail and a strong commitment to accuracy.
- Startup or high-growth company experience is preferred.
- Experience implementing or administering financial planning and forecasting systems is a plus.
- Cost accounting experience or familiarity with manufacturing-oriented financial analysis is preferred.
- Experience with NetSuite, particularly supply chain or manufacturing functionality, is advantageous.
Responsibilities
- Manage and continuously improve monthly, quarterly, annual, and long-range financial planning processes.
- Develop financial forecasts and sophisticated models covering revenue, operating expenses, cash flow, component costs, capital structure, and other key business drivers.
- Analyze actual financial performance against plan and identify the primary drivers of variances.
- Translate financial and operational findings into actionable recommendations for leadership.
- Build recurring and ad hoc reporting covering financial performance, operating metrics, and business KPIs.
- Partner with cross-functional leaders to provide financial guidance on commercial opportunities and strategic initiatives.
- Evaluate potential investments, company-wide spending, and other significant business decisions through rigorous financial analysis.
- Develop financial models and analyses supporting potential mergers and acquisitions and other corporate development activities.
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