About the job
Job Title: Corporate Finance Manager
Position Type: Full-Time, Remote
Working Hours: Align with U.S. client business hours, with flexibility required for month-end close, forecasting cycles, and board reporting deadlines.
About the Role:
We are on the lookout for a dynamic Corporate Finance Manager to spearhead financial planning, capital allocation, and strategic finance initiatives for our client. This pivotal role encompasses budgeting, forecasting, investment analysis, liquidity management, and executive reporting. As a Corporate Finance Manager, you will serve as both a proficient financial modeler and a strategic advisor to the leadership team, ensuring that decisions are driven by comprehensive analysis and trustworthy data.
Key Responsibilities:
Financial Planning & Analysis (FP&A):
- Oversee the annual budgeting process across all departments.
- Facilitate monthly and quarterly forecasting cycles, integrating actuals into the assumptions.
- Consolidate financial data across various entities, geographies, or business units.
Strategic Analysis:
- Develop valuation models (DCF, IRR, ROI, NPV) for projects, mergers & acquisitions, or capital investments.
- Perform scenario and sensitivity analyses to guide significant business decisions.
- Pinpoint cost efficiencies and opportunities for margin enhancement.
Cash & Treasury Management:
- Track cash positions, working capital, and liquidity metrics.
- Manage debt compliance, covenant tracking, and capital structure administration.
- Collaborate with banks and investors on financing strategies.
Reporting:
- Create monthly management packs, KPI dashboards, and presentations for the board.
- Conduct variance analyses against budget/forecast with comprehensive written commentary.
- Ensure all reporting outputs comply with GAAP/IFRS standards.
Collaboration & Leadership:
- Work closely with operations, sales, and product teams to align financial insights with execution.
- Guide and mentor financial analysts, reviewing their models and reports.
- Assist CFO and executives with investor relations or fundraising efforts.
Controls & Compliance:
- Implement robust internal controls around reporting, forecasting, and treasury.
- Support external audits and due diligence processes.
Ideal Candidate Profile:
- A strategic thinker with profound financial modeling expertise.
- Able to balance a comprehensive capital strategy with hands-on Excel modeling.
- Exceptional communicator with the confidence to present to executives and board members.
- An organized leader with the ability to manage analysts while maintaining a focus on details.
Required Experience & Skills:
- 5+ years of experience in corporate finance, FP&A, or investment banking.

