Manager, Financial Planning and Analysis jobs in United States
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Radwell International · 12 hours ago

Manager, Financial Planning and Analysis

Radwell International is seeking a Manager for Financial Planning and Analysis who will be responsible for analyzing financial data and preparing reports to support strategic decision-making. The role involves conducting financial analysis, forecasting performance, and collaborating with various teams to optimize financial outcomes.

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Responsibilities

Analyze financial statements, budgets, and performance indicators to assess the financial health and profitability of the organization
Conduct variance analysis and identify key drivers of financial performance, highlighting trends, risks, and opportunities for improvement
Assist in the preparation of financial forecasts, annual budgets, and long-term financial plans, collaborating with departmental managers and executives to align financial objectives with strategic goals
Monitor budget vs. actual performance, track spending patterns, and provide recommendations to optimize resource allocation and control costs
Prepare and distribute periodic financial reports, dashboards, and presentations for management, investors, and other stakeholders, providing meaningful insights into financial performance and key metrics
Work with Accounting team to ensure accuracy, completeness, and compliance with accounting standards and regulatory requirements in financial reporting
Evaluate and track investment opportunities, capital projects, and strategic initiatives by conducting financial modeling, scenario analysis, and return on investment (ROI) calculations
Collaborate with cross-functional teams, including operations, sales, and marketing, to provide financial guidance, support decision-making, and drive performance improvement initiatives
Serve as a trusted advisor to business leaders, providing insights, analysis, and recommendations to optimize financial outcomes and achieve business objectives

Qualification

Financial analysisFinancial modelingBudgetingMicrosoft ExcelStrategic thinkingCommunication skillsFinancial principlesFP&AAttention to detailProblem-solvingAdaptabilitySelf-starter

Required

Strong analytical and quantitative skills, with the ability to interpret complex financial data, create financial models and reporting tools, and perform sensitivity analysis
Proficiency in financial analysis tools and software, including Microsoft Excel, financial modeling software, and enterprise resource planning (ERP) systems
Excellent communication and presentation skills, with the ability to convey complex financial concepts and insights to non-financial stakeholders
Attention to detail and accuracy in financial reporting, analysis, and forecasting, ensuring compliance with accounting standards and regulatory requirements
Strategic thinking and business acumen, with the ability to understand the broader implications of financial decisions and provide strategic recommendations to senior management
Ability to work independently, prioritize tasks, and meet tight deadlines in a fast-paced and dynamic environment
Proven self-starter who ideally has worked in a demanding private equity environment
Knowledge of financial principles, accounting concepts, and financial markets, including an understanding of financial statements, valuation methods, and investment analysis techniques
Familiarity with financial planning and analysis (FP&A) processes, including budgeting, forecasting, and variance analysis, as well as key performance indicators (KPIs) and metrics used to measure financial performance
Strong problem-solving and critical thinking skills, with the ability to identify issues, analyze root causes, and develop actionable recommendations to drive business results
Adaptability and flexibility to respond to changing business requirements, market conditions, and organizational priorities, while maintaining a focus on delivering high-quality financial analysis and insights
Bachelor's degree in Finance, Accounting, Economics, or a related field
7+ years of experience in financial analysis, financial planning and analysis (FP&A), or a similar role, preferably in a corporate finance or consulting environment

Preferred

Advanced degree is a plus (e.g., MBA)
Professional certifications such as Chartered Financial Analyst (CFA), Certified Public Accountant (CPA), or Financial Risk Manager (FRM) is a plus

Benefits

Additionally, this role is bonus-eligible, with a target bonus percentage that provides an opportunity to earn even more based on your performance

Company

Radwell International

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Radwell, established in 1979, is a global leader in industrial automation solutions, providing new, never-used, refurbished, obsolete, and hard-to-find automation, industrial, electrical, and MRO components to businesses of all sizes.

Funding

Current Stage
Late Stage
Total Funding
$200M
Key Investors
Greenbriar Equity Group
2022-04-04Acquired
2021-01-01Private Equity· $200M

Leadership Team

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Scott Vaughn
Chief Strategy Officer (CSO)
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