• Build and maintain integrated 3-statement financial models that provide a clear view of company performance and cash flow under various scenarios. - Remote position in USA">

    FP&A Specialist / Financial Modeling Analyst

    Posted 2025-06-16
    Remote, USA Full-time Immediate Start

    Job Title: FP&A Specialist / Financial Modeling Analyst (3-Statement Expert)
    Location: Remote
    Type: Full-Time

    About the Role:
    We are seeking a highly analytical and detail-oriented Financial Modeling Analyst with deep expertise in building and maintaining fully integrated 3-statement financial models (Income Statement, Balance Sheet, and Cash Flow). The ideal candidate will have a strong background in Excel-based modeling (not reliant on third-party tools) and experience supporting strategic planning, forecasting, and financial decision-making across multiple business functions.

    Key Responsibilities:

    • Build and maintain integrated 3-statement financial models that provide a clear view of company performance and cash flow under various scenarios.
    • Develop and maintain driver-based forecasting models that connect operational metrics (e.g., headcount, revenue pipeline, churn) to financial outcomes.
    • Design and implement dynamic revenue and cost drivers to support flexible scenario modeling and sensitivity analyses.
    • Conduct rolling forecasts and update models regularly to reflect actuals, budgets, and forward-looking assumptions.
    • Prepare clear and insightful variance analysis (actual vs. budget) to guide strategic decisions.
    • Support the finance and executive teams in creating board-ready reports and presentation materials.
    • Ensure all models follow best practices in financial modeling (e.g., modular design, clear assumptions, audit trail).
    • Collaborate cross-functionally with FP&A, operations, sales, and executive leadership to align forecasts with strategic goals.

    Qualifications:

    • 5+ years of experience in financial modeling, FP&A, investment banking, corporate finance, or related fields.
    • Proven experience building 3-statement financial models in Excel (not third-party modeling platforms).
    • Deep understanding of GAAP financial statements and the mechanics of how P&L, balance sheet, and cash flow interconnect.
    • Strong ability to translate operational inputs into financial impacts using driver-based logic.
    • Experience creating sensitivity and scenario analyses for strategic planning.
    • Excellent communication and presentation skills; able to explain complex models to non-financial stakeholders.
    • Highly organized, with strong attention to detail and a mindset for continuous improvement.

    Preferred Qualifications:

    • Experience working in SaaS, eCommerce, or other recurring revenue business models.
    • Experience preparing materials for board meetings or investor updates.
    • Familiarity with BI tools (e.g., Power BI, Tableau) and ERP/accounting systems (a plus, not required).

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