Senior Finance Manager

Smart CareSaint Paul, MN
Hybrid

About The Position

The Senior Manager, Corporate FP&A is responsible for leading enterprise-wide financial consolidation, planning and reporting processes, with a strong focus on financial accuracy, lender reporting, and executive-level insights. This role serves as the central owner of consolidated financial performance and ensures alignment between internal reporting, external requirements, and strategic planning.

Requirements

  • 8–12+ years of experience in FP&A, corporate finance, or related roles
  • Strong experience in financial consolidation and corporate reporting
  • Direct experience with lender reporting, covenant compliance, and debt structures
  • Deep understanding of 3-statement financial modeling and financial statement linkages
  • Strong knowledge of GAAP vs. pro forma adjustments
  • Ability to manage complex consolidations across multiple entities
  • Strong attention to detail with high standards for accuracy and control
  • Excellent executive communication and financial storytelling skills
  • High ownership mindset — operates as the “source of truth” for financial performance
  • Strong business judgment and ability to anticipate risks
  • Ability to operate in a fast-paced, evolving environment
  • Continuous improvement and process discipline mindset

Nice To Haves

  • Experience in multi-entity or private equity-backed environments preferred

Responsibilities

  • Own the consolidation of financial results across all business units, ensuring accuracy, completeness, and timeliness
  • Align GAAP reporting with management reporting and pro forma adjustments
  • Maintain and enhance consolidated financial models, including full 3-statement (P&L, Balance Sheet, Cash Flow) forecasting
  • Ensure consistency in reporting hierarchies, definitions, and KPI calculations
  • Lead all lender reporting requirements, including compliance certificates, and covenant calculations and ensure compliance with debt agreements
  • Partner with Treasury and executive leadership on liquidity forecasting and cash flow visibility
  • Support communication with lenders by providing clear, accurate, and timely financial insights
  • Lead the enterprise-wide forecasting process, including monthly reforecasts and long-range planning
  • Develop and maintain driver-based models that connect operational assumptions to financial outcomes
  • Provide consolidated views of performance, highlighting risks, opportunities, and key drivers
  • Own preparation of corporate-level reporting
  • Serve as a corporate FP&A partner to General Managers, providing visibility into how performance translates into enterprise financial outcomes
  • Translate financials into actionable insights for General Managers across revenue, gross margin, SG&A, and EBITDA performance
  • Support General Managers in understanding financial impact of decisions, challenge assumptions and elevate financial rigor within business units

Benefits

  • Equal Employment Opportunity/Affirmative Action Employer
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