Corporate Finance Manager

CloudflareSan Francisco, CA
12d

About The Position

We’re looking for a high-performing Finance Manager to join our Corporate Finance team. In this highly visible IC role, you’ll partner directly with Cloudflare’s senior leaders to drive decision-making across the company. You’ll build models and insights that guide strategy, optimize investment, and support our mission to help build a better Internet.

Requirements

  • 7+ years of progressive experience in Finance or Investment Banking with prior experience in a corporate FP&A function; high-growth, public company SaaS experience preferred.
  • Finance-minded with strong attention to detail and a focus on scalable, repeatable process execution.
  • Intellectually curious with a problem-solving orientation and strong business acumen; able to apply rigorous logic and sound methods to solve complex problems. Not satisfied with easy or convenient answers.
  • Proven ability to build trust and align cross-functional stakeholders.
  • Strong verbal and written communication skills; able to distill complex business information into actionable takeaways for diverse audiences.
  • Willingness to play “up and down the stack” diving into the details as well as managing executive-level communications.
  • Expert financial modeling skills with strong working knowledge of US GAAP; advanced proficiency in MS Excel and Google Sheets required.
  • High proficiency with financial systems; experience with Anaplan, NetSuite, RevPro, Salesforce, and Tableau is a plus.
  • Bachelor’s degree in Finance, Accounting, Economics, or a quantitative field.

Responsibilities

  • Partner with senior leaders to support enterprise-level strategic planning, budgeting, and capital allocation decisions.
  • Lead the corporate forecasting and budgeting processes, including annual planning and regular business reviews.
  • Build, maintain, and improve financial models to inform decisions across the P&L, Balance Sheet, and Cash Flow, including areas like tax, stock comp, share count, and EPS.
  • Deliver clear, actionable financial insights through monthly reporting, variance analysis, and executive presentations.
  • Work cross-functionally to identify business drivers, trends, opportunities, and risks, aligning stakeholders and driving operational efficiency.
  • Collaborate with Accounting to ensure accurate, timely closes and support management/external reporting.
  • Support Investor Relations with model inputs, earnings release prep, and Q&A.
  • Contribute to M&A activities, board materials, and other strategic initiatives.
  • Champion scalable, repeatable finance processes (automate, simplify, and eliminate routine work wherever possible).
  • Support high-impact special projects and ad hoc analysis as needed.
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