FP&A Analyst – Reporting & Forecasting (Contract)
פורסם לפני 13 ימים · 0 מועמדים
התפקיד במילים פשוטות
התפקיד כולל תמיכה בתהליכי התכנון, הניבוי, הדיווח ואיחוד התקציב של החברה. עובד זה יהיה אחראי על תחזוקת מודלים פיננסיים של תזרים מזומנים והוצאות תפעוליות, וכן על ניתוח הפרשים בין התקציב בפועל לתחזיות. העבודה דורשת שיתוף פעולה הדוק עם מחלקות הכספים, החשבונות והאופרציה בארגון.
- Bachelor’s degree in Finance, Economics, Accounting, Business, Statistics, Mathematics, or a related field
- 4-6 years of experience in FP&A, Corporate Finance, Financial Analysis, or a related field
- Experience working in a public SaaS company or a mature private company (over 300 employees and $80M+ annual revenue)
- Strong financial modeling, forecasting, and analytical skills
- Advanced proficiency in Excel and Google Sheets
- Background in Corporate FP&A teams at public companies, or Financial Services consulting firms (PwC, EY, Deloitte, KPMG)
- Claude Code
- CPM system (Planful/ Anaplan/ Adaptive)
חולץ מתיאור המשרה · מתעדכן אוטומטית
למי זה מתאים
תפקיד זה מתאים לאנליסטים פיננסיים בעלי 4-6 שנות ניסיון ב-FP&A או במימון תאגידי, עם רקע בחברות SaaS ציבוריות או בחברות ייעוץ מובילות. הוא פחות יתאים למי שאין לו ניסיון מוכח בבניית מודלים פיננסיים מורכבים באקסל או עבודה עם מערכות CPM.
תיאור המשרה המלא
המשרה המקורית · נשמר לעיוןWe are looking for a detail-oriented and analytical FP&A Analyst - Reporting & Forecasting to join our Corporate FP&A team.
In this role, you will support company-wide planning, forecasting, reporting, and budget consolidation processes. You will be responsible for maintaining financial models, consolidating data from multiple sources, supporting forecast cycles, and helping ensure the accuracy and consistency of financial information across the organization.
You will report to the VP of Finance, FP&A and work closely with a Senior FP&A Manager and peers across the CFO organization, including Business Analysis, Billing, Collections, FinOps, Procurement and Accounting. You will also partner with Sales Operations, and business stakeholders across the company.
What You’ll Do
• Own and maintain forecasting models for cash flow, operating expenses, working capital, and company-wide planning
• Build and maintain cash inflow and cash outflow forecasts, including collections, operating expenses, and vendor payments
• Collect, reconcile, and consolidate Cash inflow related data from multiple systems and stakeholders into a single source of truth for planning and forecasting purposes
• Support monthly, quarterly, annual, and long-range forecasting cycles
• Consolidate actuals, budgets, and forecast assumptions into scalable financial models
• Monitor key working capital metrics, including collection trends and DSO performance
• Consolidate operating expense and headcount plans into company-wide forecasts
• Partner with the Departmental Ops team , Procurement and Corporate FP&A during the Annual Operating Plan (AOP) process, to ensure budget submissions are complete, accurate, and aligned with planning assumptions.
• Maintain Budget vs. Actual (BvA) and Forecast vs. Actual (FvA) reporting and support variance analysis
• Maintain and improve forecasting processes, planning models, and reporting capabilities
• Own the administration of Planful (CPM) Actual reporting and forecasting models
• Partner with Accounting, FinOps, Sales Operations, Procurement, and business stakeholders to ensure planning assumptions remain accurate and up to date
What We’re Looking For
• Bachelor’s degree in Finance, Economics, Accounting, Business, Statistics, Mathematics, or a related field
• 4-6 years of experience in FP&A, Corporate Finance, Financial Analysis, or a related field
• Experience working in a public SaaS company or a mature private company (over 300 employees and $80M+ annual revenue)
• Strong financial modeling, forecasting, and analytical skills
• Advanced proficiency in Excel and Google Sheets proficiency
• Experience with budgeting, forecasting, variance analysis, and financial reporting
• Strong attention to detail and ability to manage multiple priorities
• Experience working with large datasets and consolidating information from multiple sources
• Understanding of SaaS business models, operating metrics, and cash flow drivers
• Fluent English (written and spoken)
• Background in Corporate FP&A teams at public companies, or Financial Services consulting firms such as PwC, EY, Deloitte, KPMG, or similar organizations is a strong advantage
Tools and Systems
• Excel | Google Sheets | Netsuite | Salesforce
• Claude Code- an advantage
• CPM system (Planful/ Anaplan/ Adaptive)- a Plus
We may use artificial intelligence (AI) tools to support parts of the hiring process, such as reviewing applications, analyzing resumes, or assessing responses and identifying potential inconsistencies or verification signals in application materials based on available information. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed, please contact us.
שאלות על המשרה
- המשרה לא ציינה שכר. אנחנו מציגים שכר רק כשהמעסיק מפרסם אותו.
- Bachelor’s degree in Finance, Economics, Accounting, Business, Statistics, Mathematics, or a related field, 4-6 years of experience in FP&A, Corporate Finance, Financial Analysis, or a related field, Experience working in a public SaaS company or a mature private company (over 300 employees and $80M+ annual revenue), Strong financial modeling, forecasting, and analytical skills, Advanced proficiency in Excel and Google Sheets