Corporate FP&A Manager
@ EntrataCorporate FP&A Manager
About the job
Entrata is a global leader in AI-driven property management tech, serving owners and residents. The FP&A Manager focuses on forecasting, financial analysis, capital allocation, and systems improvement to support strategic growth and financial health.
Requirements
- Financial modeling and analysis skills
- Understanding SaaS business models
- Experience with financial planning systems
- Strong communication skills
- Builds trusted stakeholder relationships
Qualifications
- Bachelor's in Finance or related field
- 6+ years in FP&A or corporate finance
- Experience with financial statement models
- Proven ability with senior leaders
- SaaS or tech experience preferred
Full job description
Entrata is seeking a Corporate FP&A Manager to help lead enterprise financial planning, three-statement forecasting, liquidity analysis, capital allocation, and executive financial reporting. Reporting to the Director of FP&A, this role will own the Balance Sheet and Statement of Cash Flows forecasts, support consolidated company planning and reporting, and develop analytical frameworks that help leadership deploy capital effectively.
Corporate Finance exists to improve enterprise decision-making. The Corporate FP&A Manager will partner across FP&A, Accounting, Treasury, Finance Systems, and executive leadership to provide a comprehensive view of Entrata’s financial position and support the company’s most important capital-allocation decisions. This role will help leadership answer two core questions: How healthy is the enterprise, and where should Entrata deploy capital to maximize long-term enterprise value?
Responsibilities:
Enterprise Performance
Capital Allocation
Finance Architecture
Corporate Strategy Support
Essential Functions:
- Collaborate with cross-functional teams to align financial planning with business objectives.
- Maintain accuracy in financial forecasting and variance analysis.
- Communicate complex financial insights clearly to executive leadership.
- Manage financial systems and processes to ensure data integrity and efficiency.
- Support capital allocation strategies by providing data-driven recommendations.
- Ability to prioritize tasks effectively by meeting deadlines and managing workload efficiently.
- Maintain professional interaction with internal and external stakeholders
- Ability to work in a fast-paced and high-stress environment
Minimum Qualifications:
- Strong understanding of accounting fundamentals and the ability to partner effectively with Accounting and Controllership teams.
- Excellent financial modeling, analytical, and problem-solving skills.
- Proven ability to turn complex analysis into concise, executive-ready insights and recommendations.
- Strong understanding of SaaS business models, recurring revenue, unit economics, and operating leverage.
- Advanced Excel or equivalent financial-modeling skills and experience with financial planning and business-intelligence platforms.
- Exposure to treasury, debt, investments, M&A, board reporting, or strategic business cases is preferred but not required.
Education and Experience Requirements:
- Bachelor’s degree in Finance, Accounting, Economics, or a related field; an MBA, CPA, CMA, or other relevant credential is beneficial but not required.
- 6+ years of progressive experience in FP&A, corporate finance, strategic finance, transaction advisory, treasury analytics, or a related field; SaaS or technology experience strongly preferred.
- Demonstrated experience building integrated Income Statement, Balance Sheet, and Statement of Cash Flows models.
- Experience analyzing cash flow, working capital, liquidity, or capital-allocation decisions.
- Experience building trusted relationships with senior executives and cross-functional leaders.
- Experience with planning-system architecture, model governance, systems implementation, or financial-data integrations is preferred.
AI & Operational Fluency:
- AI Integration: Proactively leverages company-approved GenAI tools to automate routine tasks and accelerate high-value deliverables.
- Strategic Oversight: Functions as the "Human-in-the-Loop," taking full accountability for auditing AI outputs for factual accuracy, brand alignment, and the removal of hallucinations.
- Data Governance: Adheres strictly to AI security protocols, ensuring no proprietary or Personally Identifiable Information (PII) data is exposed to unauthorized models.
- Prompt Competency: Demonstrates the ability to craft clear, context-rich prompts to achieve consistent, high-quality results across various business domains.
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