Manager, Corporate FP&A

eBaySan Jose, CA

About The Position

The Corporate FP&A team is seeking a highly analytical and strategic Finance Manager to lead the monthly forecast and close processes, support Investor Relations with quarterly earnings, and provide financial and strategic insights. This individual will build close partnerships with the Markets and Business Unit FP&A teams as well as other corporate functions, including but not limited to Treasury, Controllership, Tax, and Investor Relations. This individual should be excited about operating in fast-paced, intellectually challenging, and dynamic environments. We are looking for someone who possesses strong critical thinking, exemplary leadership ability, and excellent communication skills. This role requires a strong foundation in core financial concepts, including deep familiarity with the three financial statements (P&L, balance sheet, and cash flow statement), and the ability to connect performance across them to drive actionable insights. The ideal candidate will also bring experience in free cash flow analysis and capital allocation, helping inform strategic decision-making and long-term value creation.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or related field
  • 5+ years of progressive experience in finance or FP&A roles
  • Strong understanding of the three financial statements (P&L, balance sheet, and cash flow) and how they interconnect
  • 1–2+ years of experience working with free cash flow analysis, cash flow forecasting, or capital allocation frameworks
  • Strong modeling skills and comfort with manipulating large data sets from various sources, interpreting trends, and extracting business insights
  • Proficiency in Excel, PowerPoint, and financial planning systems (Anaplan, Hyperion, SAP, or similar)
  • Exceptional analytical and critical thinking skills
  • Ability to communicate effectively with cross-functional stakeholders, including senior leadership
  • High attention to detail with strong ownership mindset
  • Ability to operate in a fast-paced, ambiguous environment

Nice To Haves

  • MBA or CPA

Responsibilities

  • Lead quarterly and annual financial planning processes, managing stakeholder relationships, preparing management reports, and highlighting risks and opportunities
  • Own monthly close processes, partnering closely with Accounting to support accurate and timely accruals
  • Support development of board and executive materials
  • Prepare quarterly financial information and analysis to support the quarterly earnings process, partnering with the Investor Relations team to prepare earnings guidance, consolidate financial analysis and reporting, and provide detailed business performance insight to inform earnings messaging
  • Analyze financial performance across the P&L, balance sheet, and cash flow statement, ensuring consistency and identifying key drivers of variance and business trends
  • Support free cash flow forecasting and analysis, including drivers of operating cash flow, working capital, and capital expenditures
  • Identify and drive continuous improvements in financial reporting and analyses
  • Manage ad hoc analysis requests from senior leadership

Benefits

  • target bonus
  • restricted stock units (as applicable)
  • full range of medical benefits
  • full range of financial benefits
  • 401(k) eligibility
  • various paid time off benefits, such as PTO
  • parental leave
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