San FranciscoFull TimeFinance
Remotely
automationfinancial modelingforecastingcacarroperating modelthree statement modelpayback
Job Description
📋 Description
- Own the operating model, budget, and rolling forecast as source of truth.
- Manage unit economics and key metrics (ARR, CAC, payback, gross margin, magic number).
- Provide decision support with quantified recommendations on pricing, segments, and hiring.
- Build board/investor materials and lead fundraising materials and diligence.
- Own cash flow forecasting, runway planning, and scenario analysis.
- Develop AI-native finance and ops stack; automate reconciliations and reporting.
🎯 Requirements
- 2–5 years in investment banking, growth equity, private equity, or top-tier strategic finance/
- Elite financial modeling: three-statement and operating models from scratch; defend assumptions.
- Commercial instinct with financial rigor; understand why the business wins.
- AI-native mindset; proficient with AI tools to accelerate work (e.g., Claude, ChatGPT).
- Extreme ownership and ability to operate with ambiguity; strong executive communication.
- Ability to work with founders, board members, and customers’ controllers; proactive problem-solver.
🎁 Benefits
- Competitive salary with meaningful early-stage equity; full health coverage.
- Remote/hybrid setup with flexible work arrangements.