Cash Flow Financial And Strategy Partner
Stripe
Summary
Join Stripe's Corporate Finance & Strategy team as a Cash Flow Forecasting and Reporting expert. You will play a key role in supporting strategic and financial planning processes through Free Cash Flow analysis and reporting. Develop and evolve scalable processes, forecast and analyze Free Cash Flow performance, and improve forecast accuracy. Develop and monitor critical financial performance metrics, communicating actionable insights to stakeholders. Contribute to the design and implementation of planning and automation tools, supporting leadership in evaluating strategic initiatives and key decision processes. Prepare presentations and key reporting for the Board of Directors, Investor Relations, and Leadership Team. This role requires strong analytical skills and experience in corporate FP&A.
Requirements
- 7+ years of relevant experience in corporate planning, business finance, or related fields, particularly with experience in a Corporate FP&A environment
- Experience forecasting and analyzing cash flow
- Strong analytical skills, and extensive experience architecting integrated models from scratch, in Excel or in other planning applications
- Strong working understanding of US GAAP and other financial reporting principles
- A proven ability to identify and drive impactful financial outcomes
- A proven ability to communicate effectively and build strong working relationships
- A proclivity for working in a fast-paced environment
- Excellent verbal and written communication skills
Responsibilities
- Play a key role in supporting our consolidated strategic and financial planning processes through Free Cash Flow analysis and reporting
- Develop and evolve scalable processes and work cross-functionally across the broader Finance organization to effectively forecast and analyze Free Cash Flow performance, and to improve forecast accuracy by deepening our knowledge of cash flows
- Develop and monitor critical financial performance metrics, and communicate actionable insights to relevant stakeholders
- Develop Capitalized Labor, Depreciation & Amortization, and Other Income & Expenses forecasts
- Contribute to the design and implementation of planning and automation tools
- Support Stripe leadership in evaluating strategic initiatives and key decision processes
- Prepare presentations and key reporting to the Board of Directors, Investor Relations, and Leadership Team
Preferred Qualifications
- Experience working in a high-growth, rapidly scaling environment
- Experience working closely with different Finance functions (e.g. Accounting, Tax, Treasury, IR)
- Hands-on accounting experience (e.g. working in an accounting function, audit experience, CPA, etc)