We are looking for an FP&A who can think big and move fast, partnering with the business to analyze key financial and operational drivers and support growth-focused decision-making. This role is highly cross-functional, owning core financial models, planning processes, and working closely with leaders across the company to turn strategy into execution.
What you will be doing
Manage financial forecasts and analyses across key business drivers, including revenue, growth metrics, capacity, and company expenses.
Build and manage the budget transparently, working closely with global teams to enable execution and goal achievement.
Own analyses and planning processes end-to-end, from problem definition through execution and follow-up.
Support pricing, business plans, and investment decisions through financial modeling and scenario analysis.
Operate effectively in a fast-changing environment, adapting models, assumptions, and priorities as the business evolves.
Work on ad hoc projects and strategic initiatives for senior management, assessing business challenges and proposing data-driven solutions.
Requirements: 2+ years of financial-analytical experience from a high growth SaaS company - a must.
Mastery of Excel/Google Sheet with proven experience in building financial models and managing complex data.
Bachelors degree in Economics/a quantitative discipline.
Detail-oriented with a strong sense of ownership and service mindset.
Efficient, creative problem-solver with the ability to operate independently.
SQL knowledge - Advantage.
Experience in Cloud Economics & FinOps is a significant advantage.
This position is open to all candidates.