Finance Manager, FP&A & Corporate Development

ArtsyNew York, NY
$100,000 - $130,000Hybrid

About The Position

The Finance Manager, FP&A & Corporate Development is a critical business support role with a high level of visibility across the organization. It has interactions at all levels (from individual contributors to our Exec team) while gaining company and industry knowledge and financial planning & analysis skills. Overall responsibilities include annual budget creation, ongoing business projections, financial reporting, business partnering with key company stakeholders and Corporate Development support. By understanding the key drivers of our business and working with cross-departmental leaders, including in the sales organization, this role will increase the growth rate and profitability of Artsy and Artnet. You’ll also add value in Corporate Development processes through modeling of scenarios, presentation of information, and business narratives.

Requirements

  • Have 3+ years of relevant experience either in an FP&A role, investment banking or consulting ideally with experience in Corporate Development
  • Bachelor’s Degree / professional qualification in accounting, business or finance
  • Strong skills in Microsoft Excel and AI tools (Claude, ChatGPT)
  • Ability to communicate effectively both internally and externally, in written and verbal forms
  • Ability to organize and manage multiple priorities and deadlines in a fast paced environment with attention to detail
  • Desire to learn and continuously improve and willingness to assist others to do the same
  • Aptitude for problem solving skills
  • Ability to extract and utilize data from various software applications, such as spreadsheets, databases, for reporting and/or analytical purposes

Responsibilities

  • Use business understanding and insight from sales organization to perform financial forecasting, provide insightful reporting, and construct operational metrics
  • Support any external activity including Mergers & Acquisition, Capital Raises and Investor Reporting
  • Be the main business partner for the sales organization providing insight in order to achieve their objectives
  • Input and analyze financial data and create financial models for decision support
  • Analyze past results, perform variance analysis, identify trends, and make recommendations for improvements and optimizations
  • Recommend actions by analyzing and interpreting data and making comparative analyses
  • Identify and drive process improvements, including the creation of standard and ad-hoc reports, and tools
  • Create monthly and ad-hoc reporting to support operational and financial needs
  • Provide other assistance, support, and guidance to FP&A and the business, as necessary

Benefits

  • Opportunity to reimagine the art industry while working with a talented, diverse, international team.
  • Competitive salary and equity
  • Flexible time off: our culture of trust and empowerment allows employees to take the time they need away from work while still excelling in their roles
  • We are a global hybrid team: most employees work from our NYC, London, or Berlin offices 2-3 days per week. (In-person expectations vary by role)
  • Comprehensive healthcare & benefit options, including: medical, dental, parental leave, short- and long-term disability, Employee Assistance Program featuring free mental health support, 401k, commuter benefits, flexible spending accounts (FSA), health savings accounts (HSA), financial wellness support & resources, and more
  • Professional development, including: mentoring, lunch & learns, regular training, 1:1 management, and an open feedback culture
  • Engaging opportunities and internal programming globally, to foster new relationships and build upon our collaborative community. Including: happy hours, holiday parties, global "All Hands" meetings, "Artsy Salon" (a yearly exhibition of our team's creativity), attendance to art world events, and more
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