Financial Planning and Analysis Manager
Support Red Cell Partners and its portfolio companies through financial modeling, M&A and liquidity-event analysis, comparable-company research, strategic planning, scenario and cash planning, performance measurement, fundraising materials, and investor reporting. Analyze business drivers and translate financial and operational data into actionable information for decision-making.
Responsibilities
- Lead modeling for acquisitions, spin-offs, IPOs, and other liquidity events
- Conduct comparable-company analysis
- Build and manage financial models for portfolio incubations
- Perform scenario planning and cash planning
- Monitor ROI, gross margins, and CAC/LTV
- Collaborate with sales, operations, and technical teams on business economics
- Prepare investment committee and investor materials
- Prepare fundraising and reporting materials
- Analyze key business drivers to support decision-making
Requirements
- 7+ years of experience in strategic finance, investment banking, or FP&A
- Bachelor's degree in Accounting, Finance, Economics, or a similar field
- Advanced Microsoft Excel and PowerPoint skills
- Ability to interpret quantitative and qualitative data
- Ability to evaluate financial and business indicators
- Strong analytical skills
- Strong verbal and written communication skills
- Ability to manage multiple deadlines
- Ability to handle confidential information
Benefits
- Employer-paid medical, dental, and vision insurance for employees and their families
- Unlimited paid time off
- 14 weeks of paid parental leave
- 401(k) option
- FSA
- Equity incentives
- Mental health benefits
- GLP-1 solutions