Role Overview
We are looking for a detail-oriented and analytical FP&A Analyst – Reporting & Forecasting to join our Corporate FP&A team. In this role, you will support company-wide planning, forecasting, reporting, and budget consolidation processes.
What You Will Do
Own and maintain forecasting models for cash flow, operating expenses, working capital, and company-wide planning. Build and maintain cash inflow and cash outflow forecasts, including collections, operating expenses, and vendor payments.
Why It Might Be a Fit
Strong financial modeling, forecasting, and analytical skills. Advanced proficiency in Excel and Google Sheets proficiency. Experience working in a public SaaS company or a mature private company (over 300 employees and $80M+ annual revenue).
Requirements
- Bachelor’s degree in Finance, Economics, Accounting, Business, Statistics, Mathematics, or a related field
- 4–6 years of experience in FP&A, Corporate Finance, Financial Analysis, or a related field
- Experience working in a public SaaS company or a mature private company (over 300 employees and $80M+ annual revenue)
- Strong financial modeling, forecasting, and analytical skills
- Advanced proficiency in Excel and Google Sheets proficiency
- Experience with budgeting, forecasting, variance analysis, and financial reporting
- Strong attention to detail and ability to manage multiple priorities
- Experience working with large datasets and consolidating information from multiple sources
- Understanding of SaaS business models, operating metrics, and cash flow drivers
- Fluent English (written and spoken)
To apply for this job please visit jobs.lever.co.

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