Synagro Technologies Inc

VP, Financial Planning and Analysis

Synagro Technologies Inc$150K — $200K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field.
  • 5-10 years of progressive finance experience with significant FP&A leadership responsibility.
  • Proven experience supporting debt refinancings and working with lenders or private equity sponsors.
  • Hands-on experience with sell-side transactions or major strategic alternatives.
  • Experience in Private Equity/Investment Banking preferred.

Responsibilities

  • Lead development of complex financial models encompassing operating forecasts and long-term plans.
  • Own short- and long-term cash flow forecasting and free cash flow analysis.
  • Provide analytical support for strategic initiatives and capital allocation decisions.
  • Play a lead role in financial preparation for debt refinancings and lender reporting.
  • Lead FP&A support for potential sale transactions, ensuring readiness for financial diligence.
  • Deliver clear financial insights and actionable recommendations to executive leadership.
  • Leverage accounting knowledge to align FP&A outputs with GAAP financials.

Benefits

  • Collaborative work environment with executive leadership exposure.
  • Opportunity to influence major strategic financial initiatives.
  • Development of advanced financial modeling skills.
  • Contributions to high-stakes refinancing and sale transactions.
  • Engagement in a role that directly impacts liquidity optimization and value creation.
Full Job Description
POSITION SUMMARY:

The Vice President of Financial Planning & Analysis (FP&A) will serve as a key strategic finance leader, responsible for cash flow management, enterprise-wide financial modeling, and analytic support for major capital structure initiatives, including refinancings and potential sale transactions. This role partners closely with executive leadership, private equity sponsors, lenders, and external advisors to drive financial insight, liquidity optimization, and value creation. The ideal candidate brings deep FP&A expertise, a strong accounting background, and hands-on experience supporting debt refinancings and sell-side processes.

KEY SUCCESS FACTORS:

Success in this role is defined by the ability to deliver rigorous, accurate financial models and cash flow insights that support refinancing and sale outcomes while translating complex accounting and transaction data into clear, actionable guidance for decision-making.

ESSENTIAL FUNCTIONS:

Financial Modeling & Strategic Analysis
• Lead development and ownership of complex, integrated financial models including operating forecasts, long-range plans, liquidity models, acquisition modeling and scenario analyses.
• Build and maintain detailed cash flow models to support short-term and long-term liquidity planning.
• Provide analytical support for strategic initiatives, pricing decisions, cost optimization, and capital allocation.

Cash Flow & Liquidity Management
  • Own short-term and long-term cash flow forecasting, including detailed free cash flow analysis tied to operating performance, capital expenditures, and working capital drivers and analysis, and cash optimization initiatives.
  • Partner with Treasury and Accounting to ensure accurate visibility into cash performance and drivers.
  • Develop sensitivity analyses to assess risk and liquidity under various operating and macroeconomic scenarios.

Refinancing & Capital Structure Support
  • Play a lead role in financial preparation and analysis for debt refinancings, covenant modeling, and lender reporting.
  • Support negotiations with lenders by providing detailed financial analysis, projections, and supporting schedules.
  • Coordinate closely with external advisors, banks, and internal stakeholders during refinancing processes.

Sale & Transaction Readiness
  • Lead FP&A support for potential sale transactions, including development of management case models, quality of earnings support, and diligence materials.
  • Partner with Accounting, Legal, and external advisors to respond to financial diligence requests.
  • Ensure consistency and accuracy between financial forecasts, historical results, and transaction narratives.

Reporting & Executive Decision Support
  • Deliver clear, concise financial insights to the CFO, CEO, and executive leadership team.
  • Translate complex financial data into actionable recommendations and executive-level and Board presentations.

Accounting Integration & Controls
  • Leverage strong accounting knowledge to ensure alignment between FP&A outputs and GAAP financials.
  • Partner with the CAO's team to understand month-end close impacts, forecast-to-actual variances, and key accounting judgments.
  • Ensure models and forecasts reflect appropriate accounting treatment and financial controls.

STATUS AND SCOPE:
  • Proven experience supporting debt refinancings and working with lenders or private equity sponsors.
  • Hands-on experience supporting sell-side transactions or major strategic alternatives.
  • Advanced financial modeling skills, including cash flow and scenario modeling.
  • Strong accounting foundation with a deep understanding of financial statements, cash flow, and GAAP.

COMPETENCIES:
  • Strategic thinking with strong attention to detail
  • Exceptional analytical and modeling capabilities
  • Executive-level communication and presentation skills
  • Ability to perform under tight deadlines and transaction pressure
  • Strong business partnership mindset

QUALIFICATIONS:
  • Bachelor's degree in Finance, Accounting, Economics, or related field.
  • 5-10 years of progressive finance experience, including significant FP&A leadership responsibility
  • Experience in Private Equity/Investment Banking preferred

*Currently targeting candidates located in the Baltimore, MD or Atlanta, GA area.*

The above statements are intended to describe the general nature and level of work being performed by people assigned to this position. They are not intended to be an exhaustive list of all essential job functions, knowledge, skills, abilities, efforts, and physical or working conditions associated with a position.

About Synagro Technologies Inc

Synagro Technologies is a waste management company founded in 1986 and headquartered in Baltimore, Maryland. The company provides biosolids and residuals management services to municipal and industrial customers in the United States and Canada. Synagro Technologies operates 23 facilities and has a fleet of over 700 trucks. The company's services include dewatering, drying, composting, and incineration. Synagro Technologies is committed to sustainability and has implemented several initiatives to reduce its environmental impact.
Learn more about Synagro Technologies Inc
Size
500 employees
Industry
Founded
1986

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