Senior Manager - Finance

US Anesthesia Partners, Inc.Remote,
$89,000 - $151,300

About The Position

US Anesthesia Partners is the highest-quality single-specialty anesthesia practice in the United States, with over 6,000 employees distributed across 10 states. Our clinical and non-clinical staff support each other as they work toward a common vision: Forging a better future by empowering people to advance exceptional care. The Senior Manager – Finance is responsible for financial reporting and analytical oversight while serving as a strategic partner to functional leaders of the business. This role will help lead key financial reporting and analysis activities, including long-term financial planning, metrics reporting, and decision support.

Requirements

  • 6+ years of professional experience in similar duties.
  • Minimum of 2 years auditing experience.
  • Effective oral, written, and interpersonal communication skills.
  • Proficient working knowledge of Microsoft Excel and other financial reporting software.

Nice To Haves

  • Bachelor’s degree in finance, accounting, or a related field preferred; CPA or MBA preferred.
  • Experience with GL accounting and reconciliations is preferred.
  • Experience in the healthcare industry is preferred.
  • Experience using Workday software is preferred.
  • Multi-divisional budgeting or accounting experience, statistical background with experience in financial projections, and/or macro-level working knowledge of operations is preferred.

Responsibilities

  • Oversees the monthly, quarterly, and annual financial reporting responsibilities.
  • Participates in month end close support and prepares budget/forecast variance analysis.
  • Responsible for the modeling of long-range financial planning related to core business decisions, fair market value analysis, and lender guidance.
  • Assists with annual budget and forecasting process.
  • Analyzes financial data to explain variance drivers, identify trends, and call attention to opportunities to improve performance.
  • Reviews and researches general ledger (GL) details to assist with financial analysis and business insights.
  • Pursues continuous improvement of data collection, analytical processes, reporting methods, and financial modeling techniques.
  • Participates in tasks and special projects as assigned.
  • Demonstrates self-motivation and resourcefulness, autonomously developing new projects and goals that benefit the business.
  • Collaborates with finance team members, managers, and platform CFOs to support overall departmental goals and objectives.
  • Provides support for cash flow reporting, forecasting, and financial analysis.
  • Adheres to all company policies and procedures.
  • Performs other duties, as assigned.

Benefits

  • This position is eligible for an annual bonus.
  • Bonuses are not guaranteed and are awarded based on company and individual performance.
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