Finance Manager

LHH

United States

Hybrid

USD 110,000 - 140,000

Full time

14 days+

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Job summary

LHH is conducting a search for a Corporate Finance Manager to support consolidated US financials from an FP&A perspective, reporting to the SVP of Finance. The role offers high visibility with direct access to the CEO/CFO and involves leading the corporate FP&A function.

Hybrid work is available with an optional 1-2 days per week work from home. The successful candidate will bring 6+ years in corporate finance and strong Excel skills to drive strategic insights and financial planning.

Qualifications

  • Bachelor's degree in Accounting, Finance or a comparable field.
  • 6+ years of corporate finance experience.
  • Advanced Excel and other financial tools.

Responsibilities

  • Lead global financial reporting and provide insights to senior leadership and the board.
  • Oversee budgeting, forecasting, and long-term planning cycles.
  • Define KPIs with segment finance teams and monitor investments.
  • Partner with leadership on capital structure and funding strategies.
  • Collaborate with Treasury to optimize cash flow, working capital, and risk management.
  • Develop financial models and ad hoc analyses for strategic initiatives.
  • Build and lead the Corporate FP&A team, focusing on talent development.

Skills

Corporate finance
Financial reporting
Budgeting and forecasting

Education

Bachelor's degree in Accounting, Finance or Comparable Field

Tools

Microsoft Excel
Power BI

Job description

LHH is working on an exclusive search for a Corporate Finance Manager with a large, privately held company headquartered in Kansas City. This role will report to the SVP of Finance and will play a pivotal role in supporting the consolidated US financials from an FP&A perspective. This is a high visibility role with direct access to the CEO/CFO.

The Finance Manager job duties and responsibilities include:

  • Lead global financial reporting and deliver insights to senior leadership and the board.
  • Oversee budgeting, forecasting, and long-term planning cycles.
  • Monitor investments and define KPIs with segment finance teams.
  • Partner with leadership on capital structure and funding strategies.
  • Collaborate with Treasury to optimize cash flow, working capital, and risk management.
  • Provide decision-support tools, financial models, and ad hoc analyses for strategic initiatives.
  • Build and lead the Corporate FP&A team, focusing on talent development and performance.

Qualifications:

  • Bachelor's degree in Accounting, Finance or Comparable Field
  • Public accounting and/or 6+ years of corporate finance experience
  • Advanced skills in Microsoft Excel and other tools

*This company is on a hybrid work schedule with an optional 1-2 days/week work from home

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