Drive financial planning processes, ensuring the company resource allocation stays within budget and forecasts are tightly linked to the company’s strategic goals
Support and evolve the company-wide operating model, ensuring key inputs are linked to company growth and profitability and the model is a reliable foundation for forecasting and planning
Perform robust financial analysis on financial results and operating KPIs, identifying underlying trends and areas of opportunity
Build and deliver monthly/quarterly reporting packages that tell the story behind the numbers for the exec team and Board
Leverage tooling/systems to ensure automation of critical processes as we scale
Support competitive intelligence, M&A and other corporate development initiatives
Requirements
6+ years of strategic finance/FP&A experience at a high-growth startup, ideally including 2+ years of consulting/banking/investing
You understand that people drive change, not spreadsheets, and are passionate about working with partners across all levels of the organization to steer progress
Exceptional analytical skills with the ability to drill down into the weeds while maintaining a strategic lens
Strong financial acumen and expertise in building financial models to support multiple business needs
A curious self-starter, resourceful and have a knack for problem-solving
Excellent communicator with strong interpersonal skills
Benefits
Equity compensation
Medical, Dental, and Vision coverage
HSA / FSA
401K
Work-from-Home Stipend
Therapy Reimbursement
16-week parental leave for eligible employees
Carrot Fertility annual reimbursement and membership
13 paid holidays each year as well as a Holiday Break during the week between December 25th and December 31st