Corporate Finance Manager

Pavago
Remote

About The Position

We’re hiring a strategic and analytical Corporate Finance Manager to lead financial planning, forecasting, budgeting, and high-impact financial analysis across the organization. This is a high-visibility role working directly with executive leadership, department heads, investors and banking partners, and operations and product teams. You’ll own the company’s financial planning processes while delivering insights that drive smarter business decisions, operational efficiency, and long-term growth. This role is ideal for someone who thinks strategically but executes hands-on, loves financial modeling and business analysis, can communicate complex financial insights clearly, and thrives in fast-paced, growth-oriented environments.

Requirements

  • 5+ years of experience in Corporate Finance, FP&A, Investment Banking, or Strategic Finance.
  • Advanced Excel and financial modeling expertise (DCF, IRR, NPV, Scenario modeling, Forecasting).
  • Experience with NetSuite, SAP, Oracle, or other ERP systems.
  • Strong executive communication and presentation skills.
  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.

Nice To Haves

  • CPA, CFA, or MBA credentials.
  • Experience supporting M&A transactions, fundraising, or investor relations.
  • Familiarity with Power BI, Tableau, or Looker.
  • SaaS, technology, or professional services experience.
  • Experience working in high-growth environments.

Responsibilities

  • Lead annual budgeting, quarterly forecasting, rolling forecasts, and long-range planning.
  • Consolidate financial inputs across departments and ensure forecasts align with growth goals, operational priorities, and profitability targets.
  • Build advanced financial models including DCF valuation models, ROI analysis, IRR & NPV modeling, scenario planning, and sensitivity analysis.
  • Support pricing decisions, expansion planning, investment evaluations, and headcount planning.
  • Deliver actionable insights to executive leadership.
  • Monitor cash flow, liquidity, burn rate, and working capital.
  • Support treasury operations and banking relationships, track debt covenants, financing obligations, and liquidity requirements.
  • Improve forecasting visibility and cash management processes.
  • Prepare board presentations, executive reporting packages, KPI dashboards, and monthly financial summaries.
  • Deliver variance analysis with commentary, business context, and strategic recommendations.
  • Translate financial data into clear operational insights.
  • Partner with operations, sales, product, and leadership teams to support strategic planning initiatives and business decisions.
  • Align financial goals with operational execution.
  • Support M&A analysis, due diligence, investor reporting, and capital raising initiatives.
  • Assist leadership with valuation analysis, transaction modeling, and acquisition assessments.
  • Mentor and support financial analysts and junior finance staff.
  • Improve reporting workflows, planning cycles, and automation processes.
  • Strengthen internal controls and financial governance.

Benefits

  • Remote flexibility
  • Modern finance systems and workflows
  • Career growth into Director of Finance, Head of FP&A, VP Finance, or CFO-track opportunities
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