Financial Planning & Analysis (FP&A) Analyst

Storesight

$83K — $94K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 2+ years in corporate FP&A, investment banking, private equity, or transaction advisory; SaaS/tech experience is a plus
  • Understanding of financial concepts like budgeting, forecasting, and modeling
  • Strong collaboration and communication skills, able to work cross-functionally
  • Exceptional analytical and problem-solving skills with attention to detail
  • Proven elite financial modeling skills with a focus on dynamic, formula-driven models
  • Advanced proficiency in Excel and Google Sheets, familiar with financial planning software and data visualization tools
  • Ability to design and maintain KPI templates for operational metrics

Responsibilities

  • Own and maintain the integrated forecasting model (Income Statement, Balance Sheet, Cash Flow)
  • Partner with department leaders to build and refine annual budgets and monthly rolling forecasts
  • Run strategic ad-hoc modeling for major business decisions
  • Conduct monthly and quarterly variance analysis, identifying trends and efficiency opportunities
  • Design and implement new modules in NetSuite for enhanced financial reporting
  • Utilize APIs for data integration ensuring accuracy
  • Collaborate with senior finance to develop budgets and forecasts
  • Analyze financial data for actionable insights
  • Develop and maintain visual dashboards in Tableau
  • Optimize PostgreSQL databases for data integrity and security

Benefits

  • Opportunity to work in a SaaS/tech environment
  • Collaboration with cross-functional teams
  • Professional growth through advanced financial modeling and data integration
  • Exposure to high-level financial decision-making
  • Access to cutting-edge BI tools like Tableau
Full Job Description
ESSENTIAL DUTIES AND KEY RESPONSIBILITIES

  • Financial Model Architecture: Own, maintain, and continuously scale the company's core 3-statement integrated forecasting model (Income Statement, Balance Sheet, Cash Flow).
  • Budgeting & Rolling Forecasts: Partner with department leaders (Product, Sales, Marketing) to build and refine annual budgets and monthly rolling forecasts.
  • Scenario & Sensitivity Analysis: Run strategic ad-hoc modeling for major business decisions (e.g., pricing changes or cash-on-hand bridge analysis).
  • Variance Reporting: Own the monthly and quarterly variance analysis (Budget vs. Actuals), proactively identifying trends, risks, and efficiency opportunities.
  • NetSuite Development: Design, develop, and implement new modules in NetSuite to enhance financial reporting and analysis capabilities.
  • Data Integration: Utilize APIs to export data from NetSuite and other third-party systems to integrate it with other systems, ensuring seamless data flow and accuracy.
  • Budget Planning and Modeling: Collaborate with the senior finance team to plan and develop budgets, forecasts, and other financial models.
  • Financial Analysis: Analyze financial data to identify trends, risks, and opportunities, providing actionable insights to stakeholders.
  • BI Tool Development: Develop and maintain dashboards and reports in Tableau to visualize financial performance and key metrics.
  • Data Management: Maintain and optimize PostgreSQL databases to ensure data accuracy, integrity, and security.


QUALIFICATIONS

Education and Experience:

  • Experience: 2+ years of experience in corporate FP&A, investment banking, private equity, or a transaction advisory support role. Experience in SaaS or tech is a plus.
  • Financial Acumen: Fundamental understanding of financial concepts, including budgeting, forecasting, and financial modeling.
  • Collaboration and Communication: Excellent written and verbal communication skills, with the ability to work cross-functionally
  • Analytical and Problem-Solving Skills: Strong analytical and problem-solving skills, with attention to detail and ability to interpret complex data sets.
  • Elite Modeling: Experience in owning, maintaining, and continuously scaling the company's core 3-statement integrated forecasting model (Income Statement, Balance Sheet, Cash Flow). Exceptional financial modeling skills with a proven ability to build a clean, dynamic, formula-driven model from scratch with strict version control and zero "hard-coded" errors.
  • Budgeting & Rolling Forecasts: Partnered with department leaders (Product, Sales, Marketing) to build and refine annual budgets and monthly rolling forecasts.
  • Systems & Data Fluent: Advanced proficiency in Microsoft Excel and Google Sheets. Experience with financial planning software (e.g., Adaptive, Anaplan, Mosaic) or data visualization tools (Power BI, Tableau) and with experience in AI tool usage (e.g., Claude, ChatGPT, Coefficient).
  • KPI & Dashboard Design: Design and maintain executive and board-level KPI templates, tracking operational metrics (ARR, NRR, LTV/CAC, Gross Margin expansion, and Unit Economics).
  • SaaS/Business Acumen: A solid grasp of accounting principles and key recurring revenue metrics.


Apply now

The pay range for this role is:

83,000 - 94,000 USD per year (Denver, CO)

83,000 - 94,000 USD per year (Chicago, IL)

Similar Jobs

More Jobs at Storesight

More Finance & Insurance Jobs

Find similar Financial Planning & Analysis (FP&A) Analyst jobs: