Finance Manager

Resident
Summary
Join Resident, a rapidly growing eCommerce company, as a Finance Manager and contribute to our multi-brand growth strategy. This highly visible role involves working closely with senior leadership and cross-functional teams. You will drive strategic decision-making through robust financial planning, analysis, and insights. The ideal candidate possesses a background in FP&A, investment banking, private equity/venture capital, or strategic finance and thrives in a data-driven environment. This remote position offers the opportunity to shape the future of a fast-growing eCommerce company. You will report directly to the Senior Manager of Finance. The role requires strong analytical and communication skills, as well as experience in cash flow forecasting and budgeting.
Requirements
- 5 - 7 years of finance experience
- Bachelor’s degree in Finance, Accounting or Business required
- Previously held role in financial planning & analysis at a corporation
- Ability to work autonomously, showcasing strong work ethic, time management and organizational skills
- Strong strategic thinking ability, project management skills and negotiating skills
- Strong skills in communication, initiative, decisiveness, planning and organization
- Ability to apply sound, independent judgment and discretion on matters of substantial importance to the company in performing duties, resolving complex problems, and interpreting policies and regulations
Responsibilities
- Own the cash flow forecasting process, working cross functionally with departments to streamline, improve accuracy, incorporate trends/forecast/business objectives and identify areas for improvement
- Contribute to the budgeting and forecast processes, coordinating with the leadership team and other departments to develop the periodic forecasts
- Participate as a key member of Resident’s finance team in strategic and tactical planning and managing financial performance
- Analyze the company’s financial results with respect to profits, trends, costs and compliance with budgets
- Issue regular status and ad hoc reports to senior management, our investors and our Board
- Drive change and support new business development, including market analysis, strategy and business plan development, pricing strategy, organizational structure, evaluation of joint ventures and acquisitions
- Provide cost and profitability analysis on products, customers, segments and operations, including unit economics
- Assess return on investment for capital requests, product development initiatives and sales and marketing programs
- Assist the Company with development of processes and policies to facilitate growth and profitability
- Assist senior management in financial planning and results management. Work with other team members to understand revenue and cost drivers and define appropriate reports for tracking
Preferred Qualifications
- MBA, preferred
- Investment banking, private equity or venture capital experience strongly preferred
- Experience working in a growing start-up environment is a plus
- Cash flow experience is a plus
Benefits
- Remote-first workplace (since 2016!)
- Competitive Salary
- Health, Vision & Dental Insurance
- HSA company contributions
- 401K with company match component
- Take what you need Paid Time Off
- Wellness benefits
- WFH office and cell phone/internet stipend
- A FREE MATTRESS plus an awesome Friends and Family discount!
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