August 11
🏡 Remote – New York
• Work with the VP of Finance and other key leaders to build, maintain, improve, and evolve the multi-year corporate financial model. • Develop and maintain the rolling 13-week cash flow forecast. • Take a leading role in planning, managing, and improving the company’s annual budgeting and quarterly re-forecasting process. • Partner with business leaders to define, measure, and improve the performance of KPI’s, SAAS metrics, and unit economics. • Work cross-functionally and within finance to prepare, improve, and standardize reporting to Senior Management, Investors, Lenders, and the Board of Directors. • Play an active role in preparing quarterly Board updates, ongoing development, evolution, and presentation of industry/peer group comparisons and other key analyses. • Collaborate with the Revenue Operations team to update the GTM Dashboard that helps track Pipeline Coverage, CARR Momentum, and overall sales productivity. • Partner with business leads to translate strategic initiatives and operational goals into a financial outlook.
• Four-year college degree in Finance or Accounting. An MBA is a plus. • 3-5 years experience in total (Investment Banking, Corporate Finance, FP&A) • Preference for experience in B2B SaaS and/or private equity • Excellent proficiency in Microsoft Excel and PowerPoint skills. Experience with Salesforce, Netsuite, and Rippling is a plus. • Outstanding communication skills. The position will collaborate with many other employees/departments, as well as, leadership. The ability to cleanly and concisely articulate thoughts and information is critical to success. • High degree of organization. The position will require incorporating multiple sources of data. • Ability to meet deadlines, be self-sufficient, and take ownership of work. • A desire to be part of a fast-growing company.
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