Job Description
📋 Description Build and own financial models and forecasting infrastructure as we scale. Drive investment decisions using unit economics and cohort trends. Automate manual reporting with AI, turning recurring asks into self-serve dashboards. Partner cross-functionally on strategic planning and resource allocation. Sharpen forecast accuracy and improve margins with visibility into drivers. Move from analysis to action by implementing data-driven improvements. 🎯 Requirements 2–4 years in FP&A, investment banking, corporate finance, or similar; startup a plus. AI-forward, with a track record of automating workflows or building tools. Strong modeling skills for forecast accuracy and dynamic scenario planning. Proficient in Excel/Google Sheets, QuickBooks (or ERP), and Claude Code; SQL or Sigma a plus. Skilled at cross-functional partnership to translate plans into action. Comfortable working independently in a fast-paced, high-growth environment. 🎁 Benefits Comprehensive health coverage. Remote-first workplace. Unlimited PTO. Extra fun perks.