Corporate FP&A Manager

Piazza Produce

$130K — $150K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Finance, Accounting, or related field; MBA preferred
  • 6+ years in Finance or Accounting, ideally in wholesale distribution or food production
  • 3+ years of leadership experience in FP&A
  • Familiarity with planning and reporting software like Planful or others
  • Experience with AI tools for financial modeling
  • Strong Excel skills, including advanced functionalities
  • Proficient in financial modeling and reporting suite design

Responsibilities

  • Lead FP&A strategy and business performance management for FreshEdge
  • Collaborate with executives and Private Equity on AOP and initiatives
  • Manage the FP&A team to ensure effective talent deployment
  • Construct and oversee annual planning and monthly forecasting processes
  • Analyze financial results and variances to understand performance drivers
  • Develop financial models for various scenarios
  • Prepare reports and analyses for stakeholders, including the board

Benefits

  • Health & Welfare Benefits (Medical, Dental, Vision, Disability, and Voluntary Life)
  • Paid Time Off
  • Holidays
  • 401(k) with Company Match
  • Weekly Paid
  • Career Advancement Opportunities
Full Job Description
Essential Functions:
  • Key FP&A leader contributing to strategy, planning, and business performance management for the FreshEdge organization and family of companies
  • Works with key executives and Private Equity in the overall planning, goal setting, and tracking of both the Annual Operating Plan (AOP) and key initiatives
  • Key FP&A leader contributing to strategy, planning, and business performance management for the FreshEdge organization and family of companies
  • Lead, develop, and manage the FP&A team, ensuring the right talent and capabilities are in place to support the business
  • Works with key executives and Private Equity in the overall planning, goal setting, and tracking of both the Annual Operating Plan (AOP) and key initiatives
  • Constructs and directs annual planning process and monthly forecasting process ensuring consistent execution
  • Partner across the organization to develop short and long term financial operating plans, and help drive implementation of those plans
  • Manage all Corporate departments/cost centers - forecast, budget, variances, tracking, etc.
  • Own headcount planning and labor cost modeling across the organization, partnering with HR and the Operating Companies
  • Analyze monthly financial results against forecast, budget, and prior year, and work with accounting and Operating Companies to understand variance drivers and how they impact results
  • Develop financial cost models that allow for "what if" scenarios for a variety of financial and operating activities
  • Prepare financial and business-related analysis and research in such areas as financial and expense performance, rate of return, working capital, and capital expenditures
  • Lead customer, product, channel, and SKU-level profitability and margin analysis to identify opportunities and support commercial decision-making
  • Develop and maintain cash flow forecasts and partner on liquidity planning to support working capital and capital allocation decisions
  • Owner, developer, and issuer of company financial packages for management, BOD, and banking needs
  • Prepare monthly and quarterly business reviews for the board of directors and other key stakeholders
  • Prepare debt covenant compliance calculations and lender reporting packages to support banking and Private Equity requirements
  • Develop and maintain standardized financial reports across the company
  • Develops, implements, and evolves company reporting packages to ensure business leaders are current on business results
  • Develops, implements, and evolves company dashboard capabilities to provide meaningful insights
  • Work with accounting to ensure daily/weekly/monthly actuals from the G/L and other data sources are accurately loaded and reflected in the consolidation & reporting system, Planful
  • Owner of company's budgeting, planning, and reporting software (Planful), including ongoing maintenance and development of the software
  • Support M&A due diligence work for acquisition targets, as well as assist with post deal integration work
  • Support Value Creation and Finance Transformation projects through financial modeling, analysis and insights

Competencies:
  • Exceptional leadership skills with the ability to partner and support business leaders in decision support
  • Ability to instill confidence in the business and demonstrate the business value of analytics as a business driver
  • Effective influencing and negotiation skills in an environment where resources may not be in direct control of this role
  • Excellent analytical, strategic conceptual thinking, strategic planning, and execution skills
  • Strong business acumen, including industry, domain-specific knowledge of the enterprise and its business units
  • Understanding of the synergies of people-process-technology
  • Expertise in budget planning and financial management
  • Ability to work in the details, building and constructing models and reporting, reconciling data to normalize info
  • Demonstrated ability to develop and execute a strategic people plan that ensures that the right people are in the right roles at the right time and that employees are highly engaged and satisfied
  • Ability to identify and leverage resources internally and externally to the enterprise to enhance organizational capabilities
  • Excellent verbal and written communication skills, including the ability to explain digital concepts and technologies to business leaders

Education & Experience:
  • Bachelor's degree in Finance, Accounting, or a similar business discipline - MBA preferred but not required
  • 6+ years of experience in Finance, Accounting, or related functions, preferably in wholesale distribution or food production
  • 3+ years of leadership responsibilities, preferably within a FP&A function
  • End user experience with a consolidation, planning, & reporting software, such as Planful (preferred), OneStream, Oracle HFM, SAP BPC, Workday Adaptive Planning, or Anaplan
  • Experience administering and maintaining consolidation, planning, & reporting software (Hyperion, BPC, OneStream, Planful, etc.)
  • Experience with AI tools such as Claude and Copilot in developing financial models and analysis
  • Experience analyzing/supporting multiple sites and developing budget templates for data collection, consolidation, and analysis
  • Experience designing and implementing an enterprise budgeting and forecasting process
  • Experience designing and building an enterprise reporting suite including reporting and dashboard creation
  • Strong fluency with Excel, including advanced formulas/functions, pivot tables, macros, and data manipulation
  • High proficiency in financial modeling
  • Working knowledge of MS Office (especially excel) and experience with accounting ERP systems and accounting software (e.g. Produce Pro)

Physical Demands:
  • Stand or sit for long periods of time
  • Travel as needed

Compensation:
  • $130,000 - $150,000/Year

Benefits:
  • Health & Welfare Benefits (Medical, Dental, Vision, Disability, and Voluntary Life)
  • Paid Time Off
  • Holidays
  • 401(k) with Company Match
  • Weekly Paid
  • Career Advancement Opportunities

Similar Jobs

More Jobs at Piazza Produce

More Finance & Insurance Jobs

Find similar Corporate FP&A Manager jobs: