Corporate FP&A Manager

GoodRxSanta Monica, CA
$102,000 - $216,000Hybrid

About The Position

GoodRx is looking for a talented and motivated Corporate FP&A Manager to join our growing finance team. Reporting to the Director of Corporate FP&A, this person will play a critical role in driving financial planning, budgeting, forecasting, reporting, and analysis across the company. The Corporate FP&A Manager will partner with functional leaders and finance stakeholders to improve financial transparency, lead the preparation and ongoing management of cash flow forecasting and balance sheet planning in partnership with Accounting and Finance leadership, support thoughtful resource allocation, and provide financial insights that help business leaders make decisions aligned with GoodRx's strategic priorities. The Corporate FP&A Manager will independently lead key FP&A workstreams, partner with cross-functional leaders to provide financial insights, and drive process improvements that enhance planning, forecasting, and decision-making. This role requires strong analytical capabilities, sound business judgment, and the ability to influence stakeholders through collaboration rather than direct authority. The ideal candidate will be a hands-on problem solver and collaborative business partner who is passionate about building scalable processes, improving reporting, and translating complex financial information into clear insights and actions.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, Business, or a related field required; MBA or other advanced degree is a plus
  • 8+ years of relevant experience in FP&A, financial analysis, strategic finance, accounting, investment banking, management consulting, or corporate finance or 6+ years with a Master’s degree.
  • Experience supporting a public company, consumer-focused technology company, marketplace business, or other fast-paced operating environment is a plus
  • Strong understanding of budgeting, forecasting, operating expense management, cash flow forecasting, balance sheet analysis, and financial statement analysis
  • Solid understanding of GAAP accounting principles and the ability to understand forecast nuances within the income statement and balance sheet
  • Experience with cash flow forecasting, balance sheet analysis, and working capital management
  • Advanced Excel and PowerPoint skills, with experience using Google Sheets, Google Slides, database management tools, and sophisticated financial modeling or reporting systems (experience using Workday Adaptive is a plus)
  • Proven ability to communicate complex concepts in a simple, clear, and effective manner
  • High level of business acumen and the ability to analyze and assess opportunities and issues across the organization
  • Demonstrated ability to independently manage complex financial workstreams, influence cross-functional stakeholders, and communicate recommendations to senior leaders.
  • Strong attention to detail in the development of management-quality reporting and analytics
  • Self-starter who is able to deliver in a dynamic environment under tight timelines and changing priorities; must be hands-on
  • Excellent team player who can also work well independently and with limited direction; highly driven and self-motivated
  • Positive attitude, strong work ethic, and proven ability to develop collaborative relationships across teams

Nice To Haves

  • MBA or other advanced degree
  • Experience supporting a public company, consumer-focused technology company, marketplace business, or other fast-paced operating environment
  • Experience using Workday Adaptive

Responsibilities

  • Serve as a finance business partner to Marketing and Marketing Analytics, supporting marketing budget and forecast planning, spend allocation, performance measurement on ROAS and CACs, and ROI analysis
  • Develop and maintain financial models, reporting tools, and dashboards that improve visibility into business performance and key operating drivers
  • Conduct ad hoc financial and business analyses related to performance, profitability, resource allocation, operational efficiency, and other enterprise priorities
  • Lead the preparation and maintenance of the company's cash flow forecast, including operating cash flow, working capital drivers, liquidity outlook, and key assumptions, partnering closely with Accounting and Finance leadership to monitor assumptions, liquidity trends, and operating cash flow drivers.
  • Support the consolidation and coordination of the annual budgeting and long-range forecasting processes, ensuring data accuracy, identifying key risks and opportunities, and challenging assumptions through thoughtful financial analysis, leading to recommendations for senior leadership
  • Provide timely and insightful analysis period-over-period performance and actual versus forecast results, clearly communicating key drivers, risks, and opportunities
  • Support the preparation of weekly, monthly, and quarterly dashboards, operating result packages, management reporting, and board materials
  • Work closely with Accounting to ensure planning assumptions are aligned with accounting policies, reporting requirements, and the company’s financial outlook
  • Identify and implement improvements to planning, forecasting, reporting, and financial processes that increase efficiency, scalability, and decision-making effectiveness.
  • Build trusted partnerships across Finance and the broader organization, influencing stakeholders through data-driven insights and delivering high-quality financial support to leaders across multiple functions.

Benefits

  • medical, dental, and vision insurance
  • 401(k) with a company match
  • ESPP
  • unlimited vacation
  • 13 paid holidays
  • 72 hours of sick leave
  • mental wellness and financial wellness programs
  • fertility benefits
  • generous parental leave
  • pet insurance
  • supplemental life insurance for you and your dependents
  • company-paid short-term and long-term disability
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