Senior Manager - Financial Planning & Analysis - Piscataway, NJ

Foley Inc•Piscataway Township, NJ
•$165,000 - $185,000•Onsite

About The Position

This role is responsible for leading key financial processes including annual budget, quarterly forecasting, long-range financial planning, and cash flow forecasting. The position involves monitoring financial and operational performance, analyzing variances, and identifying risks and opportunities to support business objectives. The Senior Manager will partner with senior leadership and business stakeholders to provide financial guidance, decision support, and actionable recommendations. The role also includes conducting financial analysis for strategic initiatives, managing banking relationships, developing executive dashboards and KPI reporting, and driving process improvements through automation and data analytics. Collaboration with cross-functional teams like Accounting, IT, and Operations is essential to enhance data quality and financial transparency.

Requirements

  • Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field required.
  • 8-12+ years of progressive experience in FP&A, corporate finance, or related financial disciplines.
  • Strong track record of partnering with senior leaders and influencing business decisions.
  • Advanced expertise in financial planning & analysis, including financial modeling, budgeting, forecasting, performance management, and financial statement analysis.
  • Strong technical proficiency with Microsoft Excel, PowerPoint, ERP/FP&A systems (preferably D365 and/or Vena FP&A tool), and business intelligence tools such as Power BI.
  • Excellent communication, collaboration, and problem-solving skills, with the ability to manage priorities, adapt to changing business needs, maintain accuracy, and deliver exceptional internal and external customer support.

Nice To Haves

  • MBA, CPA, CFA, CMA, or equivalent advanced credentials preferred.

Responsibilities

  • Lead the annual budget, quarterly forecasting, long-range financial planning, and cash flow forecasting processes.
  • Monitor financial and operational performance, analyze variances, and identify key risks and opportunities to support business objectives.
  • Partner with senior leadership and business stakeholders to provide financial guidance, decision support, and actionable recommendations.
  • Conduct financial analysis to support strategic initiatives, growth opportunities, operational improvements, and profitability goals.
  • Manage banking relationships, including business performance reviews and borrowing requirements.
  • Develop executive dashboards, KPI reporting, and management presentations to deliver meaningful business insights.
  • Drive process improvements through automation, data analytics, and enhanced financial reporting capabilities.
  • Collaborate cross-functionally with Accounting, IT, and Operations to improve data quality, financial transparency, and organizational performance; perform additional duties as needed to support evolving business needs.
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