You'll move fluidly between deep analytical work and strategic conversations with leadership, and you'll need to be comfortable with ambiguity
Responsibilities
- Own and continuously evolve the company’s long-range financial plan, integrating revenue, operating, and investment assumptions and developing scenario and sensitivity analyses to inform strategic priorities and capital allocation
- Partner with the CFO on fundraising prep — investor materials, board decks, data rooms, and diligence support
- Analyze unit economics to inform go-to-market and investment decisions
- Support ad hoc strategic projects — new market entry, headcount planning, capital allocation, M&A evaluation
- Help build scalable finance processes and systems as the company grows
- Translate complex financial analysis into clear, actionable recommendations for non-finance stakeholders
Required Skills
- 3–6 years of experience in investment banking, private equity, venture capital, consulting, or strategic finance/FP&A
- Advanced Excel/financial modeling skills; comfort building models from scratch
- Strong analytical and problem-solving skills with high attention to detail
- Excellent communication skills — able to distill complex analysis into a clear narrative for executives and the board
- A bias toward action and comfort operating with ambiguity in a fast-paced, resource-constrained environment
- Experience with fundraising, board reporting, or investor relations is a plus
- Strong understanding of core accounting concepts and financial statements, including how business activity flows through the income statement, balance sheet, and cash flow statement
- Familiarity with SaaS/hardware metrics and startup finance (burn, runway, ARR, gross margin) is a plus