Manager of FP&A - Bedford, United States - Creative Financial Staffing

    Creative Financial Staffing
    Creative Financial Staffing Bedford, United States

    2 weeks ago

    Creative Financial Staffing background
    Description

    Manager of FP&A

    CFS has partnered with a high-growth organization to assist in finding their new Manager of FP&A. This person will be responsible for P&L forecasting, budgeting, consolidation, and analysis. This role will be a key member of the finance team, contributing to the overall success of the company.

    About the company

    • PE-backed outdoors company that has been servicing the nation for the past 30+ years.
    • Rapidly growing company with locations across 25+ states.
    • Leader in their industry and has grown year over year.
    • Motto of helping customers and keeping their communities looking great.
    • Opportunity for advancement and career development.
    • Close-knit culture where everyone helps when needed.
    • Strong benefits package + 401k match.
    • Strong tenure within the management team.

    Responsibilities:

    • Develop, implement, and deliver financial reporting and variance analysis for functional business partners and the Finance leadership team, driving continuous improvement in forecasting and reporting.
    • Partner with functional teams to produce and prepare monthly, quarterly, and annual forecasts and budgets, tracking them against actual performance, and delivering insights to the Senior Vice President.
    • Monitor and maintain essential financial reporting and analysis for the organization, including P&L management, budget support, tracking fleet capital expenditures, dashboards, and other business support.
    • Evaluate and analyze variances in financial plans, highlighting risks and opportunities to operations management and recommending actions for improved performance.
    • Manage budget and monthly forecast updates, creating models to measure the financial impact of business events.
    • Prepare short and long-term financial plans and forecasts in conjunction with the sales and operations management teams.
    • Continuously develop analysis reporting for income statements, service lines, operational KPIs, and various cost drivers to inform senior management and drive better business decisions.
    • Assist with and take on ad hoc projects and other duties as assigned.

    Qualifications:

    • Bachelors degree in finance, accounting, or a related field.
    • 4+ years of experience in a public company and/or high-growth startup.
    • MBA is preferred.
    • Strong Excel skills.

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