Corporate Finance Manager

Pavago · via Himalayas ·

TypeFull-time job
LocationIndia
Posted2 hours ago
Corporate Finance Manager – FP&A & Strategic Finance
Position Type: Full-Time, Remote
Working Hours: U.S. Client Business Hours
About the Role
We’re hiring a highly analytical Corporate Finance Manager to lead FP&A, financial modeling, budgeting, forecasting, executive reporting, and strategic finance for a growing U.S.-based business.
This is a high-visibility role for someone who can go beyond reporting the numbers and turn financial data into actionable business insights.
You’ll work closely with executive leadership and department heads to improve financial visibility, evaluate growth opportunities, manage planning cycles, and support strategic decision-making.
If you have strong FP&A and corporate finance experience, advanced financial modeling skills, and can confidently communicate insights to senior leadership, this role could be an excellent fit.
What You’ll Own
FP&A, Budgeting & Forecasting

Lead annual budgeting, quarterly forecasting, and rolling forecasts

Build and maintain long-range financial plans

Consolidate financial inputs across departments

Analyze actual performance against budgets and forecasts

Identify key drivers behind revenue, expense, margin, and profitability changes

Ensure financial plans align with growth and operational priorities

Financial Modeling & Strategic Analysis

Build and maintain financial models for:

Forecasting and scenario planning

DCF valuations

ROI analysis

IRR and NPV calculations

Investment opportunities

Pricing decisions

Headcount planning

Expansion initiatives

Conduct sensitivity and scenario analysis

Translate financial findings into clear recommendations for leadership

Executive & Board Reporting

Prepare monthly and quarterly financial reporting packages

Build KPI dashboards and management reports

Deliver budget-to-actual and forecast-to-actual variance analysis

Provide concise commentary explaining financial performance and business drivers

Prepare materials for executive, board, investor, and banking discussions

Present financial insights clearly to both financial and non-financial stakeholders

Cash Flow, Treasury & Working Capital

Monitor cash flow, liquidity, working capital, and burn rate

Maintain cash forecasting models

Support treasury activities and banking relationships

Monitor debt covenants and financing obligations

Identify opportunities to improve working capital and cash management

Strategic Finance & Business Partnership

Partner with operations, sales, product, and leadership teams

Support business cases and strategic initiatives with financial analysis

Evaluate growth opportunities and investment decisions

Support pricing, resource allocation, and profitability analysis

Help department leaders understand the financial impact of operational decisions

M&A, Investors & Corporate Development

Support M&A analysis and financial due diligence

Build acquisition and transaction models

Assist with valuation analysis

Support investor reporting and capital-raising initiatives

Prepare financial information and analysis for external stakeholders as needed

Finance Operations & Process Improvement

Improve budgeting, forecasting, and reporting processes

Identify opportunities for finance automation

Improve data accuracy and reporting efficiency

Support ERP and financial systems optimization

Mentor financial analysts or junior finance team members

Strengthen financial controls and planning discipline

What Makes You a Strong Fit

You combine strong financial analysis with commercial thinking

You can build complex models but also explain the conclusions simply

You understand the operational drivers behind financial performance

You’re comfortable presenting to executives and senior stakeholders

You can move between detailed analysis and high-level strategy

You take ownership and work effectively in fast-moving environments

Required Experience & Skills

5+ years of experience in FP&A, Corporate Finance, Strategic Finance, Investment Banking, or a closely related field

Bachelor’s degree in Finance, Accounting, Economics, or a related discipline

Advanced financial modeling and Excel skills

Strong experience with:

Budgeting and forecasting

Variance analysis

Financial statements

Scenario and sensitivity analysis

DCF

IRR and NPV

Cash flow analysis

Experience with NetSuite, SAP, Oracle, or similar ERP systems

Strong analytical and problem-solving abilities

Excellent written and verbal English communication

Ability to prepare polished executive-level financial presentations

Comfortable working independently in a remote environment

Nice to Have

CFA, CPA, MBA, or equivalent qualification

M&A or transaction experience

Fundraising or investor relations exposure

Experience with Power BI, Tableau, or Looker

SaaS, technology, professional services, or high-growth company experience

Experience supporting board-level reporting

Finance automation or ERP optimization experience

What a Typical Day Looks Like
You may start by reviewing financial performance against the latest forecast, investigating key variances, and updating cash flow or KPI models.
Throughout the day, you could meet with department leaders to review budgets, build a scenario model for a strategic initiative, prepare an executive reporting package, or analyze the financial impact of a new investment.
You’ll regularly turn complex financial information into clear recommendations that leadership can use to make decisions.
In short: you provide the financial intelligence, planning, and strategic analysis that helps leadership allocate resources and grow the business effectively.
Key Metrics for Success

Accurate and reliable financial forecasts

Timely completion of budgeting and planning cycles

Strong budget-to-actual and forecast-to-actual accuracy

Clear visibility into cash flow and working capital

High-quality executive and board reporting

Actionable financial insights supporting business decisions

Improved efficiency of FP&A and reporting processes

Leadership confidence in financial analysis and recommendations

Interview Process

Initial Application Review

Intro Video via Spark Hire

Financial Modeling / Strategic Analysis Exercise

Client Interview with Finance Leadership

Offer & Onboarding

What Happens After You Apply
Right after you apply, you’ll receive an email invitation from Spark Hire to record your Intro Video. It’s a short, self-recorded video completed on your own time and is the final step needed to complete your application.
Instead of repeating your background across multiple screening calls, you get to introduce yourself once and show hiring teams how you communicate before the first interview. If there’s a strong fit, your first live conversation can focus on the role rather than starting from scratch.
Don’t overthink it. You can record your responses multiple times, and discarded takes are not shared.
Please keep an eye on both your inbox and spam folder for the Spark Hire invitation.
Apply Now
If you:

Have strong FP&A and corporate finance experience

Love financial modeling and strategic analysis

Can turn complex financial data into clear business recommendations

Are comfortable working directly with senior leadership

Want meaningful ownership over planning, forecasting, and strategic finance

We’d love to hear from you.
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Originally posted on Himalayas
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