FP&A Manager

LBMC Staffing Solutions•Franklin, TN

About The Position

Our client is seeking an FP&A Manager to join its growing Finance organization and play a key role in strengthening the company’s financial planning, forecasting, reporting, and business performance capabilities. This position will take ownership of core FP&A processes while serving as a strategic business partner to the CFO, senior Finance leadership, and operational leaders across the organization. The FP&A Manager will translate financial and operational data into meaningful insights, identify key business drivers, and provide analysis that supports both day-to-day decision-making and long-term growth initiatives. The ideal candidate is a hands-on FP&A professional who is comfortable working in a growing, multi-entity environment and can move seamlessly between detailed financial analysis and high-level recommendations for senior leadership. Experience with healthcare revenue cycle analytics, Power BI, or SQL is highly valuable but not required.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 5+ years of progressive experience in FP&A, financial analysis, corporate finance, or a related discipline.
  • Strong experience with budgeting, forecasting, financial modeling, variance analysis, and management reporting.
  • Demonstrated ability to partner with senior leaders and operational stakeholders to drive business performance.
  • Strong financial and analytical skills with the ability to identify trends, understand business drivers, and develop actionable recommendations.
  • Advanced Excel and financial modeling skills.
  • Experience with BI/reporting tools such as Power BI is highly preferred.
  • SQL experience is a plus, particularly for candidates with revenue cycle or large-data analytics experience.
  • Strong communication and presentation skills, with the ability to communicate financial information clearly to both Finance and non-Finance audiences.
  • Comfortable operating in a growing environment where processes, systems, and reporting capabilities continue to evolve.
  • Highly collaborative, proactive, and hands-on with a strong sense of ownership.

Nice To Haves

  • Experience with healthcare revenue cycle analytics
  • Experience with Power BI
  • Experience with SQL
  • Healthcare services or multi-entity experience

Responsibilities

  • Own and lead the annual budgeting, forecasting, and long-range financial planning processes.
  • Develop and maintain sophisticated financial models to support business planning, forecasting, scenario analysis, and strategic decision-making.
  • Lead monthly and quarterly financial reporting and performance analysis, including preparation of materials for executive leadership and other key stakeholders.
  • Analyze actual performance against budget, forecast, and prior periods, identifying key drivers, risks, trends, and opportunities.
  • Partner closely with operational and functional leaders to understand business performance, establish meaningful KPIs, and drive accountability around financial results.
  • Develop and enhance financial and operational reporting to provide leadership with timely, actionable insights.
  • Provide financial modeling and scenario analysis to support strategic initiatives, investments, acquisitions, integrations, and other growth opportunities.
  • Partner with Accounting throughout the monthly close process to understand results, investigate significant variances, and ensure financial performance is accurately reflected in FP&A reporting.
  • Support cash flow forecasting and liquidity planning in partnership with Finance leadership.
  • Present financial insights and recommendations to the CFO and senior leadership, translating complex analysis into clear business implications.
  • Identify opportunities to improve FP&A processes, reporting capabilities, financial models, and data integrity.
  • Help establish scalable FP&A processes and reporting infrastructure as the organization continues to grow.
  • Support ad hoc financial analysis and strategic projects as needed.
  • Develop and enhance reporting and dashboards around revenue performance, accounts receivable, collections, payor mix, denials, and other revenue cycle KPIs.
  • Analyze claims, billing, payor remittance, denial, underpayment, and AR data to identify trends and opportunities for improvement.
  • Partner with Revenue Cycle, Finance, and operational leadership to establish meaningful KPIs and translate data into actionable recommendations.
  • Analyze forecasted versus actual revenue and cash performance and identify the underlying business drivers.
  • Leverage tools such as Power BI and SQL to improve reporting, automate manual processes, and enhance visibility into revenue cycle performance.
  • Help improve data consistency, reporting accuracy, and analytical capabilities across the organization.
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