Finance Manager
@ rePurpose GlobalFinance Manager
This job is still taking applications, but it's been up a while.
About the job
rePurpose Global is a sustainability platform that helps brands measure and recover plastic waste, ensuring compliance across regulations. Founded in 2017, headquartered in NY, they focus on data-driven impact in waste management, supporting thousands of waste workers worldwide.
Requirements
- 5+ years in FP&A or strategic finance
- Experience forecasting SaaS metrics
- Advanced financial modeling skills
- Board reporting and executive presentation
- Strong communication skills
Qualifications
- Experience in high-growth SaaS environment
- Proficiency in Google Sheets, QuickBooks, Stripe
- Ability to translate financial data
- Experience with variance analysis
Full job description
About the Company
Founded in 2017, rePurpose Global is the leading Packaging Sustainability & Compliance platform for consumer companies. We enable brands to measure their plastic footprint, recover plastic waste from nature through a global partner network, and streamline compliance across 45+ packaging regulations — all from one platform.
rePurpose has recovered over 100 million pounds of plastic waste, supported 2,300+ waste workers, and maintains 10+ active impact projects worldwide. Our platform helps brands achieve compliance outcomes through advanced data management and regulatory expertise.
Headquartered in New York. Learn more at repurpose.global.
About the Role
We are looking for an execution-oriented Finance Manager to join our Finance team at a pivotal moment in rePurpose's growth. Reporting to the Head of Finance, you will own consolidated financial modeling, SaaS metrics forecasting, and management reporting, translating complex data into clear narratives for executive leadership and the Board.
This role is ideal for someone who has built rigorous financial discipline in banking and carried that into a high-growth startup environment. You will work across the full financial stack, touching everything from SaaS metrics to Board reporting, and play a central role in how the company plans, measures, and communicates performance.
Key Responsibilities
- Own the annual budgeting and monthly forecasting processes across consolidated financial statements, including Revenue, ARR, Billings, Collections, and Free Cash Flow.
- Produce monthly and quarterly variance analyses and financial performance reports for senior management and the Board of Directors.
- Build and maintain complex, driver-based financial models to support scenario planning and strategic decision-making.
- Develop and automate dashboards to track key SaaS operational metrics and business performance trends.
- Partner with department heads to manage budgets, explain variance drivers, and identify efficiency opportunities.
Requirements
- 5+ years in FP&A or strategic finance, with experience in a high-growth SaaS environment; investment banking or consulting background a plus.
- Direct experience forecasting SaaS metrics, including ARR, Billings, Collections, and Free Cash Flow.
- Advanced financial modeling skills with proficiency in Google Sheets, QuickBooks, and Stripe.
- Track record of preparing Board-level reporting packages and executive presentations.
- Strong communicator with the ability to translate financial complexity into clear business insight.
Location Preference:
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