Financial Planning & Analysis Manager

Acnb BankGettysburg, PA
12dHybrid

About The Position

Financial Planning & Analysis Manager Location: Hybrid, within driving distance of Gettysburg, PA FP&A Manager – Turning Numbers into Strategy This is a ground-floor opportunity for an entrepreneurial finance professional to own and build the company's inaugural FP&A function. You will be the person leadership relies on to translate complex financial data into clear insight , strengthen financial discipline, and ensure the organization’s performance aligns with its long-term objectives. If you are someone who prefers influence over title, analysis over noise, and meaningful work over check-the-box reporting, this role was designed with you in mind. What Sets You Up for Success

Requirements

  • Bachelor’s degree in Accounting or Finance required.
  • 5+ years of progressive FP&A or corporate finance experience
  • Strong technical accounting foundation, including US GAAP and banking-specific accounting standards
  • Advanced financial modeling skills and expert-level Excel proficiency
  • Demonstrated ability to analyze complex data sets, identify trends, and solve business problems
  • Strong organizational skills with the ability to manage multiple projects concurrently
  • Clear, confident communicator who can explain complex financial information to non-financial audiences
  • Proven judgment to align financial recommendations with business strategy and risk considerations

Nice To Haves

  • CFA, CPA, and/or MBA preferred.

Responsibilities

  • Own and elevate the budgeting and forecasting process. Deliver accurate annual budgets and forecasts that leadership trusts and actively uses. Improve forecast accuracy through stronger modeling, assumptions, and variance analysis.
  • Provide actionable insight—not just reports. Identify trends, risks, and opportunities across revenue, expenses, and key banking metrics. Present financial results in a clear narrative that enables faster, better decisions.
  • Strengthen financial modeling and long-range planning. Build and maintain short- and long-term financial models that support strategic planning, capital decisions, and growth initiatives. Evaluate scenario impacts, stress testing assumptions where appropriate in a banking environment.
  • Serve as a strategic thought partner to leadership. Support senior leaders with data-driven analysis related to investments, cost optimization, revenue growth, and strategic initiatives. Contribute financial analysis to potential mergers, acquisitions, and other strategic opportunities.
  • Improve financial processes and reporting. Identify inefficiencies in the organization and drive practical improvements. Increase accuracy, consistency, and timeliness of financial information provided to leadership.
  • Collaborate effectively across the organization. Partner closely with business units and shared services to ensure financial goals align with operational realities. Translate financial concepts for non-financial leaders in a way that builds understanding and trust.

Benefits

  • High visibility and influence without people-management bureaucracy.
  • A seat at the table for strategic and financial decision-making.
  • Work that directly impacts the financial strength and direction of the organization.
  • A hybrid work structure , with flexibility balanced by meaningful in-person collaboration.
  • The opportunity to bring structure, insight, and rigor to critical financial processes.
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