The Corporate FP&A Manager will lead financial planning cycles, develop financial models, conduct variance analysis, and collaborate with department heads to align financial strategies with company goals.
Corporate Finance Manager
📜 Description
- Own and maintain the company's corporate financial model, ensuring it accurately reflects business performance and supports forecasting, scenario analysis, and strategic planning
- Manage debt covenant calculations and cash flow forecasting, including monitoring compliance and proactively flagging changing trends
- Field questions from investors and support investor relations, including preparation of externally facing financial analyses and presentations
- Play a critical role in creating monthly and quarterly board materials, translating financial results into clear, executive-ready narratives
- Review and summarize monthly financial performance across the business, identifying key trends, variances, and opportunities
- Develop and improve tools to support the annual budgeting process
🛠️ Requirements
- Advanced Excel-based financial modeling skills; ability to build, maintain, and stress-test complex models from scratch
- Strong proficiency in PowerPoint for executive and board presentations
- Experience with NetSuite or a comparable accounting system
- Familiarity with debt instruments, covenant structures, and lender reporting
- Excellent communication skills with the ability to distill complex financial information into clear, compelling materials for senior leadership, the Board, and investors
- Exceptional attention to detail with a high standard for accuracy in all deliverables
- Growth mindset with a drive for continuous improvement and intellectual curiosity
- Strong team player who collaborates effectively across functions and levels of seniority
- Ability to manage multiple workstreams and deadlines in a fast-paced environment
- 3–5 years of experience in investment banking or private equity required
✨ Benefits
- Bonus eligibility based on performance
- Monthly cell phone stipend
- 401(k) with employer match
- Medical
- Dental
- Vision insurance
- Paid parental leave and parental pay benefits
- Free telehealth services
- Employee Assistance Program (EAP)
- Pre-tax commuter benefits
Full job description
[solidcore] is seeking a motivated and detail-oriented Corporate Finance Manager to join our team! This is a high-visibility role with a leader in the boutique fitness sector and at a rapidly growing company with a collaborative culture. This role is hybrid, with 3 days per week in our Arlington, VA office near Washington D.C.
As a key member of our finance team, you'll own the corporate finance infrastructure that supports our senior leaders, investors, and lenders. This position reports directly to the VP of Finance and plays a meaningful role in the analysis and materials that shape the company’s financial narrative, capital structure and executive-level decision-making across the business. This is an excellent opportunity for a finance professional with an investment banking or private equity background who is ready to step into an operating role with significant ownership and exposure.
Key Responsibilities:
Own and maintain the company's corporate financial model, ensuring it accurately reflects business performance and supports forecasting, scenario analysis, and strategic planning
Manage debt covenant calculations and cash flow forecasting, including monitoring compliance and proactively flagging changing trends
Field questions from investors and support investor relations, including preparation of externally facing financial analyses and presentations
Play a critical role in creating monthly and quarterly board materials, translating financial results into clear, executive-ready narratives
Review and summarize monthly financial performance across the business, identifying key trends, variances, and opportunities
Develop and improve tools to support the annual budgeting process
Coordinate due diligence processes across all departments
Perform ad hoc strategic and financial analysis to support leadership decision-making
Partner cross-functionally with accounting, operations, and studio teams to ensure financial models and analyses reflect ground-level business dynamics
Requirements:
Technical Skills
Advanced Excel-based financial modeling skills; ability to build, maintain, and stress-test complex models from scratch
Strong proficiency in PowerPoint for executive and board presentations
Experience with NetSuite or a comparable accounting system
SQL or data visualization experience (e.g., Tableau) a plus
Familiarity with debt instruments, covenant structures, and lender reporting
Soft Skills
Excellent communication skills with the ability to distill complex financial information into clear, compelling materials for senior leadership, the Board, and investors
Exceptional attention to detail with a high standard for accuracy in all deliverables
Growth mindset with a drive for continuous improvement and intellectual curiosity
Strong team player who collaborates effectively across functions and levels of seniority
Ability to manage multiple workstreams and deadlines in a fast-paced environment
Experience
3–5 years of experience in investment banking or private equity required
Bachelor's degree in Finance, Accounting, Economics, or a related field required
Operating company experience a plus
MBA or CFA a plus
Compensation and Benefits:
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