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Manager, FPA - Corporate Planning (34659)

KLS MARTIN LP
Posted 2 months ago, valid for 8 days
Location

Jacksonville, FL, US

Salary

Competitive

Contract type

Full Time

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Sonic Summary

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  • The FP&A Manager, Corporate Planning position is a full-time role located at the Corporate Office in Jacksonville, FL, requiring a bachelor's degree and 7-12 years of progressive FP&A experience.
  • This role is responsible for leading consolidated budgeting, forecasting processes, and financial performance management while partnering with executive leadership to develop company-wide financial plans.
  • The position demands advanced financial modeling expertise and the ability to translate strategic objectives into actionable financial insights that support decision-making.
  • Candidates should have strong proficiency in Excel and experience with BI tools, along with a growth-oriented mindset focused on financial discipline and technology leverage.
  • The salary for this role is not specified, but it is expected to reflect the candidate's extensive experience and expertise in financial analytics.

Job DetailsJob Location: Corporate Office - Jacksonville, FL 32246Position Type: Full TimeEducation Level: 4 Year DegreeJob Shift: DayJob Summary The FP&A Manager, Corporate Planning serves as the organization's leader for consolidated planning, forecasting and financial performance management. This role partners with executive leadership to develop company-wide financial plans, evaluate business performance and ensure leadership maintains visibility into earnings, cash flow, working capital and capital allocation decisions. The position is responsible for translating strategic objectives into financial plans, integrating operational forecasts into a consolidated company outlook and providing actionable insights that support executive decision-making. The role owns the company's consolidated budgeting, forecasting and long-range planning processes while maintaining accountability for the overall financial outlook across the income statement, balance sheet and cash flow statement. Working closely with the FP&A Manager, Financial Transformation and business leaders across the organization, this role develops financial analyses, business cases and recommendations that support operational, strategic and capital allocation decisions. The position serves as a trusted advisor to leadership and business process owners, combining strong business acumen, financial modeling expertise and business partnership skills to drive performance, accountability and financial discipline throughout the organization. Essential Functions, Duties, and Responsibilities Corporate Planning & Forecast Leadership Leads the company's consolidated budgeting, forecasting and long-range planning processes. Develops scenario analyses and financial recommendations supporting executive decision-making. Aligns financial plans with operational initiatives, workforce planning and investment priorities. Establishes planning assumptions, governance standards and forecasting methodologies. Translates operational and business drivers into financial forecasts, performance expectations and resource allocation decisions. Corporate FP&A & Financial Performance Owns the consolidated financial outlook across the income statement, balance sheet and cash flow statement. Leads financial and operational analysis supporting earnings performance, cash flow generation and capital allocation decisions. Develops executive reporting, variance analysis and actionable insights supporting strategic and operational decision-making. Evaluates financial performance trends and identifies risks, opportunities and corrective actions. Establishes consistent financial drivers, performance metrics and analytical methodologies across the organization. Collaborates with the FP&A Manager, Financial Transformation to continuously improve planning, reporting and analytical capabilities. Business Unit FP&A, Analytics & Decision Support Partners with business leaders to evaluate operational and financial performance. Develops financial analyses, reporting and recommendations that support operational and strategic decision-making. Performs profitability, productivity, pricing and performance analyses to identify risks and opportunities. Develops financial models, business cases and scenario analyses supporting key business initiatives. Supports cross-functional projects and special analyses that improve business performance and organizational effectiveness. Treasury & Liquidity Management Owns short-term and rolling cash flow forecasts and integrates liquidity planning into the broader financial forecast. Monitors cash position, liquidity requirements and working capital trends to support operational, strategic and capital allocation decisions. Supports treasury planning, treasury administration and lender reporting activities. Maintains appropriate controls and segregation of duties within cash disbursement and treasury-related processes. Monitors foreign currency exposures, banking services and related costs to optimize financial performance. Partnership with Finance and Admin Teams Partners across Finance and Administrative functions to ensure alignment between reported results, forecasts, strategic priorities and resource allocation decisions. Collaborates with Accounting, Treasury and other Finance leaders to develop consistent assumptions, recommendations and financial insights. Incorporates operational, accounting and financial reporting considerations into planning, forecasting and decision-support activities. Maintains appropriate separation between transaction execution, financial oversight and performance management responsibilities. Team Leadership Leads and develops FP&A team members through coaching, mentorship and performance management. Establishes performance expectations aligned with analytical rigor, business partnership and accountability. Promotes collaboration across Finance, Administrative functions and business leadership to support organizational objectives. QualificationsEducational and Experience Requirements Bachelor’s degree in Finance, Accounting, Data Analytics, Business Analytics, Management Information Systems or a related quantitative field 7–12 years of progressive FP&A, corporate finance or finance analytics experience Demonstrated experience building and standardizing complex financial models Proven leadership experience developing and managing high-performing teams Advanced financial modeling expertise, including driver-based forecasting and scenario modeling Experience integrating financial models with ERP data and structured datasets Strong proficiency in Excel; experience with BI tools such as Power BI or Tableau SQL proficiency or demonstrated experience working directly with structured data strongly preferred Experience in operational or manufacturing environments preferred Knowledge, Skills, and Abilities Growth-oriented mindset with a focus on scaling processes, strengthening financial discipline and leveraging technology to drive efficiency and insight Strong analytical and critical-thinking capability with the ability to translate data into actionable strategies that support growth, profitability  and performance improvement Clear and confident communicator who effectively partners across functions to align financial plans, operational priorities and strategic objectives. Ability to lead and develop a high-performing team, setting clear expectations and fostering a culture of accountability and continuous improvement thru ongoing refinement related to standardization and simplification/automation. Demonstrates sound judgment and the ability to navigate complex decisions while maintaining strong internal controls and compliance standards High standards of integrity and professionalism, with a commitment to protecting financial data and organizational trust Proactive and results-driven, with the initiative to identify opportunities, solve problems and drive meaningful outcome Skill Requirements Typing/computer keyboard  Utilize computer software (specified above)  Retrieve and compile information  Maintain records/logs  Verify data and information  Organize and prioritize information/tasks  Operate office equipment  Advanced mathematical concepts (fractions, decimals, ratios, percentages, graphs) Verbal communication  Written communication  Public speaking/group presentations Research, analyze and interpret information  Investigate, evaluate, recommend action  Leadership and supervisory, managing people Physical Requirements Sitting for extended periods  Extended periods viewing computer screen  Walking  Reading  Speaking  Hear/Listen Maintain regular, punctual attendance Repetitive Motions  Pushing/Pulling  Bending/Stooping  Reaching/Grasping  Writing Hazards Normal office environment  All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.




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