Corporate Finance Manager (FP&A, Strategic Finance & Capital Planning) – Remote
Мэтч & Сопровод
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Описание вакансии
TL;DR
Corporate Finance Manager (FP&A, Strategic Finance & Capital Planning) – Remote (FP&A, strategic finance, and treasury): Leading budgeting, forecasting, financial modeling, capital allocation, and executive reporting for a growing organization with an accent on strategic planning, investment analysis, and liquidity management. Focus on building DCF and scenario models, evaluating investments and M&A opportunities, improving forecast accuracy, and translating complex financial data into decisions for executive leadership.
Location: Remote from South Africa or Kenya; working hours aligned with U.S. business hours
Company
is recruiting for a client seeking a strategic finance professional to support executive decision-making and long-term growth.
What you will do
- Lead annual budgeting, rolling forecasts, long-term financial planning, and consolidated reporting across entities and business units.
- Build DCF, ROI, IRR, NPV, scenario, and sensitivity models for investments, pricing, expansion, and M&A decisions.
- Monitor liquidity, working capital, cash flow, debt compliance, capital structure, and financing strategies.
- Prepare board materials, executive reporting packages, KPI dashboards, variance analysis, and financial commentary.
- Partner with Operations, Sales, Product, executives, investors, and banking institutions on strategic initiatives.
- Improve finance workflows, controls, reporting scalability, automation, audits, and due diligence processes while mentoring junior finance staff.
Requirements
- 5+ years of experience in corporate finance, FP&A, strategic finance, or investment banking.
- Advanced Excel or Google Sheets skills, including financial modeling, scenario planning, consolidations, advanced formulas, and automation.
- Experience with NetSuite, SAP, Oracle, or comparable ERP platforms.
- Experience preparing executive reports, financial models, board presentations, and actionable variance analysis.
- Strong analytical, financial, strategic problem-solving, written, and verbal communication skills.
- Excellent English communication and availability during U.S. business hours required.
Nice to have
- MBA, CFA, CPA, or an equivalent professional qualification.
- Experience with M&A, fundraising, investor relations, or capital allocation projects.
- Experience with Power BI, Tableau, or Looker.
- Background in SaaS, professional services, or multi-entity organizations.
Culture & Benefits
- Fully remote position with collaboration across finance, operations, sales, product, and executive functions.
- Opportunity to influence business strategy through financial insights and capital planning.
- Focus on improving automation, reporting efficiency, forecast accuracy, and scalable finance processes.
Hiring process
- Initial phone screen followed by a video interview with a recruiter.
- Practical financial modeling exercise and client interview with the CFO or executive leadership.
- Offer and onboarding; an introductory video recorded through Spark Hire is required after applying.
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