Pavago

Staffing and Recruiting

CorporateFinanceManager

United States FULL TIME Remote Friendly
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Mid candidates.

The Brief

“Corporate Finance Manager at Pavago. Skills: Financial Planning, Forecasting, Financial Modeling, Executive Reporting. Lead annual budgeting processes. Manage rolling monthly and quarterly forecasts”

What You'll Achieve.

Forecast accuracy within target variance ranges; Timely delivery of executive and board reporting; ROI and effectiveness of capital allocation decisions; Quality and clarity of financial insights; Operational efficiency improvements in finance processes; Positive executive feedback on strategic support and reporting

Industry & Context.

Staffing and Recruiting
Problems you'll solve

Analytical and strategic thinking abilities; Identify financial risks and opportunities

What They're Looking For.

Must Have

5+ years of experience in corporate finance, FP&A, investment banking, or strategic finance, Advanced Excel / Google Sheets expertise, NetSuite, SAP, Oracle, or similar ERP systems experience, Proven experience preparing executive reporting, financial models, board presentations, Analytical and strategic thinking abilities

Nice to Have

MBA, CFA, or CPA, Experience supporting M&A transactions, Experience supporting fundraising, Experience supporting investor relations, Experience supporting capital allocation initiatives, BI dashboard experience, Background in SaaS, Background in professional services, Background in multi-entity organizations

What You'll Do.

Lead annual budgeting processes

Manage rolling monthly and quarterly forecasts

Consolidate financial reporting

Improve forecast accuracy and planning visibility

Support long-term financial planning initiatives

Build advanced financial models

Evaluate capital investments and growth initiatives

Identify margin improvement opportunities

Prepare board presentations and KPI dashboards

Deliver clear variance analysis and commentary

Translate complex financial data into actionable insights

Strengthen forecasting workflows and reporting processes

Drive automation and operational finance improvements

How You'll Work.

Team & Collaboration

Work directly with leadership; Partner with operations, sales, product, and executive teams; Align financial strategy with operational execution; Partner with banking institutions, investors, and executive leadership; Mentor and review work from financial analysts

Communication Scope

Translate complex financial data into actionable business insights; Presenting to executives and stakeholders

Full Job Description

### **💼 Corporate Finance Manager (FP &A, Strategic Finance & Capital Planning)** **Full-Time Remote | U.S. Business Hours** ### **🚀 About the Role** We’re hiring a highly analytical and strategic **Corporate Finance Manager** to lead financial planning, forecasting, capital allocation, and executive financial analysis for a growing business. This is not a transactional accounting role. You will play a critical role in: * driving financial strategy, * supporting executive decision-making, * building financial models, * improving forecasting accuracy, * and helping leadership allocate capital effectively. This role combines: * FP&A, * strategic finance, * treasury management, * executive reporting, * financial modeling, * and investment analysis. You’ll work directly with leadership, helping translate financial data into actionable business decisions while supporting long-term company growth. ### **🔥 What You’ll Own** ### **Financial Planning & Forecasting** * Lead annual budgeting processes across departments and business units * Manage rolling monthly and quarterly forecasts * Consolidate financial reporting across: * entities, * teams, * or geographies * Improve forecast accuracy and planning visibility * Support long-term financial planning initiatives ### **Strategic Finance & Investment Analysis** * Build advanced financial models including: * DCF * ROI * IRR * NPV * scenario analysis * sensitivity analysis * Evaluate: * capital investments, * growth initiatives, * pricing strategies, * and M&A opportunities * Identify: * margin improvement opportunities, * cost efficiencies, * and operational risks * Provide data-driven recommendations to leadership ### **Cash Flow & Treasury Management** * Monitor: * liquidity, * working capital, * and cash positions * Support: * debt covenant compliance, * capital structure management, * and financing strategies * Partner with: * banking institutions, * investors, * and executive leadership * Improve treasury visibility a

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