Haystack
← Back to Jobs
Remote
Finance
VO

Accounting and Finance - Head of FP&A

VolarifyUnited States🇺🇸United StatesPosted Oct 6, 2026

Quick Overview

Seniority
Leader
Work mode
Remote
Location
United States
Posted
14 hours ago
BudgetingCFACPAERPFP&AFinancial ModelingFinancial ReportingForecasting

Job Description

Job Description
FP&A Manager
We handle multi-million-dollar commercial projects as well as residential losses of all sizes. Founded in 1948, the company has built a long-standing reputation for quality, reliability, and service excellence.
We are a team of high-energy, high-performing individuals who work together to maintain
Our Client’s position as an industry leader.

Position Summary
Reporting to the Corporate Controller, the
FP&A Manager will support financial reporting, review, and analysis at the corporate and consolidated level. The role will work closely with the Accounting and Senior Leadership teams to help assess and drive the Company's strategy and performance, with a primary focus on consolidated-level analysis, preparing monthly management decks, and assisting with the annual budgeting process.

The FP&A Manager’s areas of focus include financial statement review, forecasting and budgeting, financial modeling for capital projects, and executive-level presentation development
. This position reports to our headquarters and is an on-site role. Remote work or relocation will not be offered. Prepare monthly reporting decks and management presentations for the senior leadership team and private equity sponsor. Prepare monthly commentary on key financial results, trends, and variances from budget and forecasts at the consolidated level.

Assist with the annual corporate budgeting process by consolidating branch budgets, validating underlying assumptions, and preparing summary analyses and presentation materials. Partner with the leadership team to support medium- to long-term financial and strategic planning through data-driven analysis, scenarios, and modeling. Identify and quantify risks and opportunities and provide recommendations to improve financial performance.

Develop and maintain a full understanding of
Our Client’s ERP, data, and other systems to deliver meaningful insights regarding business performance and key drivers. Maintain and enhance the rolling 13-week cash forecast
, including analysis of cash flow and working capital trends. Prepare the monthly borrowing base file for the asset-based lending agreement. Analyze cash flow and working capital to identify areas of potential improvement and present findings to management. Support special projects and ad hoc consolidated analysis as needed to provide decision-making support on new initiatives.

Minimum of 3–5 years of relevant FP&A, corporate finance, or related experience
. Bachelor’s degree in Finance or Accounting required. MBA or professional certification such as
CFA or CPA is a plus but not required. General accounting experience. Excellent written and oral communication skills, with the ability to synthesize data and clearly convey actionable messages to senior stakeholders. Experience with
ERP and business intelligence tools required; experience with Sage and Tableau is a plus.

Fully paid employee life insurance
~ Medical, vision, and dental coverage
~ Disability insurance
~ Join
Our Client and become part of a high-performing team that combines financial discipline, operational excellence, and strategic thinking to drive continued growth. All qualified applicants will receive consideration for employment without regard to age, race, color, religion, sex, sexual orientation, gender identity, national origin, protected veteran status, or protected veteran status and will not be discriminated against on the basis of disability.

Similar jobs