CHA Solutions
Manager, FP&A and Strategic Finance
About this role
Join Us: Steer Enterprise Planning as Manager, FP&A and Strategic Finance – Drive Growth, Forecasting, and Executive Decision-MakingReady to take on a highly visible finance leadership role where your insights influence business strategy and growth? Join CHA Consulting, Inc. as a Finance Manager and lead cash flow planning, financial modeling, and strategic finance initiatives that help drive informed decision-making across the organization. CHA Consulting, Inc. is seeking a Manager, FP&A and Strategic Finance to join our Finance Team in a remote capacity, where you will lead cash flow forecasting, financial modeling, and strategic finance initiatives that directly influence business performance. In this highly visible role, you'll collaborate with senior leadership, support capital allocation decisions, and contribute to corporate development activities, including mergers and acquisitions. This is an exceptional opportunity for an experienced finance professional looking to make a significant impact on the future of a growing organization.
What You'll Do
- Lead the development and maintenance of short-term and long-range cash flow forecasts to support strategic business planning and liquidity management
- Partner with leadership on annual budgeting, monthly forecasting, and financial planning initiatives across the organization
- Build and enhance free cash flow and integrated three-statement financial models to support business planning and scenario analysis
- Evaluate liquidity trends, funding requirements, and working capital performance to identify risks and opportunities for improvement
- Support treasury activities, including cash management, banking relationships, debt compliance, and balance optimization
- Maintain budgeted and forecasted balance sheet models while analyzing key balance sheet accounts and business drivers
- Support corporate development initiatives through M&A financial modeling, due diligence, and pro forma analysis
- Prepare executive-level reporting, dashboards, and Board materials that provide meaningful insights into financial performance and business strategy What You Bring:
- Bachelor’s degree in Finance, Economics, or Accounting, required; MBA preferred
- Minimum of 7 years of experience in FP&A, corporate finance or treasury required
- Advanced expertise in three-statement financial modeling, cash flow forecasting, and scenario analysis
- Exceptional analytical, problem-solving, and decision-support capabilities