Corporate Finance Manager
Pavago · Remote · India · Remote
Posted Sep 10, 2026
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Corporate Finance Manager – FP&A & Strategic Finance
Position Type: Full-Time, Remote Working Hours: U.S. Client Business Hours
About the Role
We’re hiring a highly analytical Corporate Finance Manager to lead FP&A, financial modeling, budgeting, forecasting, executive reporting, and strategic finance for a growing U.S.-based business.
This is a high-visibility role for someone who can go beyond reporting the numbers and turn financial data into actionable business insights.
You’ll work closely with executive leadership and department heads to improve financial visibility, evaluate growth opportunities, manage planning cycles, and support strategic decision-making.
If you have strong FP&A and corporate finance experience , advanced financial modeling skills, and can confidently communicate insights to senior leadership, this role could be an excellent fit.
What You’ll Own
FP&A, Budgeting & Forecasting
Lead annual budgeting, quarterly forecasting, and rolling forecasts
Build and maintain long-range financial plans
Consolidate financial inputs across departments
Analyze actual performance against budgets and forecasts
Identify key drivers behind revenue, expense, margin, and profitability changes
Ensure financial plans align with growth and operational priorities
Financial Modeling & Strategic Analysis
Build and maintain financial models for:
Forecasting and scenario planning
DCF valuations
ROI analysis
IRR and NPV calculations
Investment opportunities
Pricing decisions
Headcount planning
Expansion initiatives
Conduct sensitivity and scenario analysis
Translate financial findings into clear recommendations for leadership
Executive & Board Reporting
Prepare monthly and quarterly financial reporting packages
Build KPI dashboards and management reports
Deliver budget-to-actual and forecast-to-actual variance analysis
Provide concise commentary explaining financial performance and business drivers
Prepare materials for executive, board, investor, and banking discussions
Present financial insights clearly to both financial and non-financial stakeholders
Cash Flow, Treasury & Working Capital
Monitor cash flow, liquidity, working capital, and burn rate
Maintain cash forecasting models
Support treasury activities and banking relationships
Monitor debt covenants and financing obligations
Identify opportunities to improve working capital and cash management
Strategic Finance & Business Partnership
Partner with operations, sales, product, and leadership teams
Support business cases and strategic initiatives with financial analysis
Evaluate growth opportunities and investment decisions
Support pricing, resource allocation, and profitability analysis
Help department leaders understand the financial impact of operational decisions
M&A, Investors & Corporate Development
Support M&A analysis and financial due diligence
Build acquisition and transaction models
Assist with valuation analysis
Support…