Director, Corporate FP&A

Wheels UpChamblee, GA
Onsite

About The Position

In this role, the Director, Corporate FP&A (Chamblee, GA) will own enterprise-level financial planning, forecasting, modeling, and liquidity analysis. This position is responsible for delivering accurate, decision-ready forecasts across the P&L and cash flow, maintaining high-quality financial models, and providing clear insights to senior leadership. The Director, Corporate FP&A reports to the VP, FP&A and manages one FP&A team member. This is a hands-on leadership role that emphasizes forecast accuracy, analytical rigor, and disciplined financial processes, while partnering closely with Finance leadership and cross-functional stakeholders.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • Minimum 8+ years of progressive FP&A or corporate finance experience.
  • Demonstrated ownership of forecasting, modeling, and variance analysis at the corporate level.
  • Experience with cash flow and liquidity forecasting.
  • Advanced Excel modeling skills; experience with NetSuite strongly preferred.
  • Experience with communicating financial insights clearly to senior leaders and non-financial stakeholders.

Nice To Haves

  • MBA, CPA, CFA, or similar credential.
  • Prior people management experience.
  • Experience operating in complex, multi-stakeholder or public-company environments.

Responsibilities

  • Coordinate and prepare the annual budget and rolling forecast, and long-range planning.
  • Own cash flow and liquidity forecasting, including short- and medium-term outlooks.
  • Develop and maintain detailed financial models, including scenario and sensitivity analysis.
  • Monitor performance versus budget, forecast, and prior periods; identify key drivers, risks, and opportunities.
  • Identify, assess, and track key financial and operational performance indicators.
  • Build, maintain, and optimize financial models to evaluate business initiatives, capital investments, and potential growth opportunities.
  • Prepare detailed monthly and quarterly management reports for senior leadership, including variance analysis, trend analysis, and financial performance metrics.
  • Oversee financial modeling related to business initiatives, capital investments, and other strategic projects.
  • Coordinate and prepare the monthly management reporting packages with clear variance explanations, trend analysis, and financial performance metrics.
  • Translate complex financial results into concise, executive-level insights and recommendations.
  • Support executive and Board-level materials related to corporate financial performance and liquidity.
  • Strengthen FP&A processes, forecasting cadence, and model governance.
  • Drive cross-functional initiatives to improve financial outcomes, monitor progress, and report on results.
  • Operate in an Excel-centric FP&A environment supported by NetSuite.
  • Improve forecast accuracy, documentation, and repeatability through standardization, automation and best practices.
  • Manage and develop one FP&A professional through coaching, feedback, and prioritization.
  • Set clear analytical standards and ensure high-quality, timely deliverables.
  • Encourage a collaborative work environment that promotes continuous improvement, analytical rigor and professional growth

Benefits

  • Tuition Reimbursement
  • Competitive 401(k)
  • Comprehensive Medical, Dental, and Vision Insurance
  • Complimentary access to mental health and wellness counseling through Spring Health
  • Financial planning assistance through WellCents
  • A variety of additional programs and services in support of your total well-being
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