North AmericaFull TimeFinance
Remotely
excelgoogle sheetsfp&afinancial modelingsaascash flowcash ebitdafcf
Job Description
📋 Description
- Build and maintain Cash EBITDA and FCF models with monthly actuals, forecasts, variances, and cash
- Coordinate the Annual Operating Plan and forecast cycles; consolidate plans and test assumptions
- Link P&L, cash metrics, and forecasts to show how operating performance drives cash
- Partner with FP&A and cross-functional teams to analyze revenue, expenses, headcount, and
- Reconcile results with Accounting to ensure aligned management reporting
- Produce monthly/quarterly reporting with actionable insights on key drivers
🎯 Requirements
- Bachelor’s degree in Finance, Accounting, Economics, Business, or related field
- 3-5 years FP&A, corporate finance, or strategic finance experience (SaaS/tech preferred)
- Advanced financial modeling skills in Excel or Google Sheets
- Strong grasp of income statement and cash flow, and working capital impact on cash
- Ability to analyze large data sets and tell a clear business narrative
- Excellent communication and ability to explain results to Finance and non-Finance audiences
🎁 Benefits
- Competitive compensation; eligibility for ownership program
- Flexible work culture with remote, hybrid, and in-office options
- Generous time off and wellness programs
- Learning and development resources, tuition reimbursement
- Tools and technology to do your best work
- Motivosity recognition program and inclusive culture