Senior FP&A Manager

Enfinity GlobalMiami, FL

About The Position

Enfinity Global is seeking a dynamic Global FP&A Manager / Senior Manager to fill a key role in supporting a rapidly growing global enterprise with significant exposure to the CFO and international finance team. This role will report to the Director of Global FP&A and help manage Enfinity Global’s forecasting and financial analysis process. The ideal candidate will have proven success in supporting enterprise-level forecasting in a multi-business / multi-region setting within publicly-traded companies and/or private equity / PE-backed companies. Bachelor’s degree required; MBA and/or CFA highly preferred. Sector expertise in Power / Renewable Energy a plus.

Requirements

  • Bachelor’s degree required; MBA and/or CFA highly preferred.
  • 5-10 years progressive experience in FP&A and corporate finance within publicly-traded companies and/or private equity / PE-backed companies.
  • Strong finance background and financial modeling skills with demonstrable experience.
  • Experience working with and managing ERP systems such as Netsuite in a growth environment (implementation experience a strong plus).
  • Strong organizational skills and attention to detail, with demonstrated ability to effectively manage multiple projects simultaneously.
  • Ability and desire to work in a fast-paced, entrepreneurial environment with demonstrated ability to coordinate and lead cross-functional teams to achieve goals and objectives.
  • Excellent analytical, problem solving and data analysis skills.
  • Excellent communication skills (verbal and written); executive presence and ability to communicate and collaborate with stakeholders at all levels.
  • Proficiency with use of all MS Office products, in particular Excel and PowerPoint.

Nice To Haves

  • Sector expertise in Power / Renewable Energy a plus.
  • MBA and/or CFA highly preferred.
  • Implementation experience with ERP systems such as Netsuite a strong plus.

Responsibilities

  • Monthly and quarterly P&L and cash flow forecasting and variance analysis, distilling business results into concise themes with identification of opportunities to improve performance, and proactive identification of financial and timing risks and opportunities.
  • Quarterly reporting materials to the Board of Directors.
  • Annual budgeting process, as well as short- and long-term planning processes as necessary.
  • Ad hoc analysis as necessary, as well as support of ongoing capital markets activities.
  • Develop and maintain a repository of debt capital providers with all relevant data, including interest rates, principal, term, borrowing base, financial covenants, etc.
  • Support ongoing cash flow and capital analysis, what-if scenarios, cashflow forecasts, etc.
  • Assist in the development of tools and reports to support executive leadership team business decisions.
  • Enhance reporting capabilities through Netsuite, including potential bolt-on or implementation of advanced forecasting tools.
  • Ongoing management of operational data.
  • Assist in the development and preparation of lender materials, including supporting lender requests.

Benefits

  • Foster your professional and personal growth
  • Opportunity to actively contribute and make a real impact on climate change
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