Strategic FP&A Manager — Global SaaS, Equity & Hybrid

Canva

San Francisco (CA)

Hybrid

USD 160,000 - 210,000

Full time

14 days+
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Benefits offered by this job

Equity packages
Health benefits plans
401(k) retirement plan
Parental leave policy
Vibe & Thrive allowance
Flexible leave options

Job summary

Canva’s Corporate FP&A Manager sits at the heart of our financial engine, owning the reporting infrastructure, processes, and systems that keep our business accountable and our leaders informed.

You’ll bridge close consolidation and GAAP bridging, through to Audit Committee and Board reporting, and provide financial guidance while collaborating with investor relations to support our growth narrative.

Qualifications

  • 5+ years of related experience in Finance or quantitative fields.
  • FP&A experience within global SaaS companies; GAAP and Corporate FP&A at a US public company is a must-have.
  • Strategic mindset linking big picture to detail with ease.
  • Excellent communication and stakeholder management with senior leaders across the company.
  • Team player who improves processes and systems for efficiency.

Responsibilities

  • Partner across FP&A and business leaders to drive accountability and manage financial performance across revenue and expenditure, implementing planning frameworks, mechanisms, processes, and systems along the way.
  • Deliver improvements to financial close, planning and reforecast cycles in collaboration with FP&A, Finance, and business leaders.
  • Design, build, and implement planning and reporting cadences at board, executive, and leadership levels.
  • Clarify and cohesively present the growth narrative and investment thesis in partnership with investor relations for external communications.
  • Collaborate with accounting, tax, and treasury to deliver finance team goals.

Skills

Financial modeling
Stakeholder management
Communication
Strategic thinking
Adaptability

Tools

Anaplan

Job description

Canva’s Corporate FP&A Manager sits at the heart of our financial engine, owning the reporting infrastructure, processes, and systems that keep our business accountable and our leaders informed.

You’ll bridge close consolidation and GAAP bridging, through to Audit Committee and Board reporting, and provide financial guidance while collaborating with investor relations to support our growth narrative.

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