Senior Analyst, FP&A

AlphaSenseChicago, IL
$91,000 - $125,000

About The Position

AlphaSense is seeking an analytically rigorous, high-potential finance professional to own G&A expenses and cash flow analysis. This role will support the FP&A leadership team in building a scalable, IPO-ready finance function. The ideal candidate will have hands-on FP&A or corporate finance experience, ideally with a foundation in investment banking or transaction advisory. This position offers significant ownership, allowing the individual to build models, see decisions through, and partner directly with leaders who act on the analysis. It is a high-visibility role, with direct work alongside the CFO, SVP of Finance, and other senior leaders, providing regular exposure to executive-level decisions as the company scales toward an IPO.

Requirements

  • 3+ years of finance experience
  • Meaningful time spent in FP&A or corporate finance
  • Ability to build clean, driver-based financial models from scratch
  • Ability to identify what actually moves the numbers
  • Understand how the income statement, balance sheet, and cash flow connect
  • Comfortable building and defending a cash flow forecast
  • Expert in Excel
  • Comfortable working across financial systems and data
  • Willingness to get technical with data
  • Familiar with core accounting concepts and rules
  • Ability to pivot from a detailed reconciliation to an executive-level insight

Nice To Haves

  • Early foundation in investment banking or transaction advisory
  • Experience with Adaptive Insights, NetSuite, Tableau, or SQL / BI tools is a strong plus
  • Ownership mentality and energized by helping stand up processes that scale
  • Trusted thought partner with exceptional written and verbal communication
  • Works well across Finance, Accounting, HR, and the business
  • Thrives in a fast-paced, changing environment

Responsibilities

  • Own monthly analysis, budgeting, and forecasting for G&A functions (e.g. Finance, Legal, HR, IT, Facilities), partnering with cost-center owners on spend vs. targets and trade-offs
  • Build and maintain the company's cash flow forecast, including working capital, billings and collections, and liquidity analysis
  • Support monthly close: analyze results, prepare variance explanations, and ensure accuracy of G&A expense and cash reporting
  • Coordinate quarterly forecasts and the annual budget for your areas of ownership
  • Partner cross-functionally with Accounting and Analytics to consolidate and interpret financial results
  • Prepare and present executive and Board-level reporting and models — partnering directly with senior finance and business leaders, and getting real airtime to translate detail into decision-ready insight
  • Contribute to finance-led process improvement and special projects as we drive toward IPO readiness

Benefits

  • Performance-based bonus
  • Equity
  • Generous benefits program
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