[Hiring] Financial Planning & Analysis Director @Coleridgeinitiative

🌍 Remote, USA 💹 Full-time 🕐 Posted Recently

Job Description

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Role Description

    The Financial Planning & Analysis (FP&A) Director will serve as a key strategic partner in advancing Coleridge’s financial strength and long-term growth. Reporting directly to the Chief Financial Officer (CFO), this role is responsible for delivering high-impact financial analysis, robust forecasting, and sophisticated modeling that inform organizational decision-making and resource allocation.
  • Develop and maintain complex financial models to support budgeting, long-term financial planning, and product pricing.
  • Collaborate cross-functionally to develop annual operating budgets and long-term financial forecasts aligned with strategic objectives.
  • Conduct comprehensive financial analysis to identify trends, opportunities, and risks in the organization, and provide recommendations for improvement.
  • Support the development of pricing strategies to match products’ value, cost, and customer demand to achieve financial targets.
  • Contribute to the development and maintenance of a strong control environment through comprehensive and well-documented processes and procedures.
    Qualifications
  • A strong interest in Coleridge’s mission to enhance the use of data to inform public decision making.
  • Bachelor’s degree in Finance, Accounting, Economics, or a related field (MBA is a plus).
  • 8+ years of professional experience in finance roles (non-profit experience preferred).
  • Experience in project-based accounting (knowledge of state and federal grants and contracts preferred).
  • Strong financial acumen with deep understanding of financial analysis, budgeting, forecasting, and pricing strategies.
  • Exceptional analytical and critical thinking skills, with the ability to interpret complex financial data and provide actionable recommendations.
  • Advanced proficiency in financial modeling and Microsoft Excel (data management skills are a plus).
  • Effective communication and presentation skills to effectively convey financial concepts to non-financial stakeholders.
    Requirements
  • Ability to present complex models to colleagues and non-financial stakeholders in a clear and concise manner.
  • Conduct scenario analyses and sensitivity testing to evaluate the financial impact of different business strategies.
  • Prepare accurate and timely financial reports, including actual versus budget variance analysis and cash flow analysis.
  • Develop and maintain pricing models including periodic review and testing of key assumptions.
  • Act as a strategic business partner by providing financial insights, guidance, and support in key decision-making processes including new business opportunities.
    Benefits
  • Professional development and tuition reimbursement plans.
  • Time off with pay plans.
  • Retirement plan with company-funded matching contribution.
  • Additional pay based on performance commitments.

Work Environment & Physical Demands

    This is a remote-based position (Eastern Time Zone preferred), primarily sedentary (sitting or standing at a desk in a home office). Work may be programmed for weekdays, weekends, and evenings.
  • The employee is regularly required to talk or hear.
  • The employee is frequently required to sit or stand for extended periods of time at a desk or computer workstation.
  • The employee may occasionally lift and/or move up to 15 pounds.

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