Corporate Finance Manager
Pavago
Posted: May 6, 2026
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Quick Summary
A Corporate Finance Manager is required to lead financial planning, forecasting, budgeting, and executive financial analysis for a growing business.
Required Skills
Job Description
💼 Corporate Finance Manager (FP&A, Strategic Finance & Financial 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, budgeting, 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,
• building executive-level reporting,
• supporting investment decisions,
• improving forecasting accuracy,
• and helping leadership make data-driven business decisions.
This role combines:
• FP&A,
• strategic finance,
• treasury oversight,
• financial modeling,
• and executive communication.
You’ll work closely with leadership across operations, sales, and product teams while helping scale financial systems and processes in a fast-moving environment.
🔥 What You’ll Own
Financial Planning & Forecasting
• Lead annual budgeting and quarterly forecasting cycles
• Build and maintain rolling forecasts for revenue, expenses, and cash flow
• Partner with department leaders to align financial plans with business goals
• Improve forecasting accuracy and reporting visibility
• Support long-term strategic planning initiatives
Financial Modeling & Strategic Analysis
• Build advanced financial models for:
• DCF analysis
• ROI modeling
• IRR calculations
• scenario planning
• investment decisions
• Conduct sensitivity and variance analysis
• Support strategic initiatives through data-driven recommendations
• Evaluate operational and financial performance trends
Executive Reporting & Business Insights
• Prepare:
• monthly financial packages
• KPI dashboards
• executive summaries
• board presentations
• Deliver clear variance commentary and performance insights
• Translate financial data into actionable recommendations for leadership
• Support investor and stakeholder reporting initiatives
Treasury & Cash Flow Management
• Monitor:
• liquidity,
• working capital,
• and cash flow performance
• Support debt covenant tracking and banking relationships
• Assist with treasury planning and capital allocation decisions
• Improve financial visibility and operational forecasting
Cross-Functional Collaboration
• Partner with:
• operations,
• sales,
• product,
• and leadership teams
• Align business initiatives with financial objectives
• Support pricing, investment, and growth-related decisions
• Contribute to operational and strategic planning conversations
Team Leadership & Process Improvement
• Mentor and support junior finance and FP&A team members
• Improve reporting workflows and financial processes
• Support ERP optimization and reporting automation initiatives
• Strengthen financial controls and reporting accuracy
✅ Required Experience & Skills
• 5+ years of experience in:
• corporate finance,
• FP&A,
• investment banking,
• or strategic finance
• Advanced financial modeling expertise:
• DCF
• NPV
• IRR
• scenario analysis
• forecasting models
• Strong Excel and/or Google Sheets skills
• Experience with ERP systems such as:
• NetSuite
• SAP
• Oracle
• Strong executive-level presentation and communication skills
• Bachelor’s degree in:
• Finance
• Accounting
• Economics
• or related field
⭐ Preferred Qualifications
• CFA, CPA, or MBA
• Experience supporting:
• M&A transactions
• due diligence
• capital raising
• investor relations
• Familiarity with BI tools:
• Power BI
• Tableau
• Looker
• Experience in:
• SaaS
• professional services
• high-growth companies
🧠 What Makes You a Strong Fit
• You think strategically while maintaining financial accuracy
• You can communicate complex financial insights clearly
• You are highly analytical and detail-oriented
• You are comfortable presenting to executives and leadership teams
• You enjoy building scalable financial systems and processes
• You thrive in fast-paced, evolving business environments
📅 What a Typical Day Looks Like
• Review forecast updates and operational performance metrics
• Update financial models and scenario analyses
• Prepare executive reporting and KPI dashboards
• Partner with department leaders on budgeting and planning
• Analyze cash flow and liquidity trends
• Support strategic finance initiatives and investment decisions
• Mentor junior finance team members and improve reporting workflows
In short:
You help leadership understand the financial health of the business, improve decision-making, and drive long-term strategic growth through accurate planning and analysis.
📊 Key Metrics for Success (KPIs)
• Forecast accuracy and reliability
• Timely completion of budgeting and reporting cycles
• Quality of executive reporting and strategic insights
• Cash flow visibility and liquidity management
• Financial model accuracy and decision support effectiveness
• Operational efficiency improvements within FP&A processes
🌟 Why This Role Stands Out
• Direct exposure to executive leadership and strategic decision-making
• High-impact role influencing company growth and financial direction
• Opportunity to work across FP&A, treasury, and strategic finance
• Leadership and mentoring responsibilities
• Exposure to board-level reporting and investment analysis
• Remote flexibility with strong career growth potential
🧪 Interview Process
• Initial Screening
• Recruiter Interview
• Client Interview
• Offer & Onboarding
👉 Apply Now
If you:
• enjoy financial modeling and strategic analysis,
• thrive in FP&A and corporate finance environments,
• can translate numbers into business insights,
• and want to play a key role in executive decision-making,
this role is a strong fit for you.