Are you applying to the internship?
Job Description
FP&A Manager | Global Accounting Network
The Tone:
This is a full-time role at an AI infrastructure and cloud computing company, located in the United States. This rapidly growing company builds and operates GPU compute and data center capacity to power the next generation of artificial intelligence. This highly visible role will partner closely with executive leadership, playing a key role in financial planning, fundraising initiatives, investor reporting, debt financing activities, and strategic decision-making. The position is critical to building scalable processes and supporting the company’s continued growth during an exciting period of expansion.
The TL;DR
• Role: Manager
• Type: Full-time
• Location: United States
• Team: Finance team, partnering with executive leadership
• Mission: Lead financial planning, strategic finance, and scalable process development to support rapid company growth and investment decisions.
• Tech Stack: Microsoft Excel, PowerPoint, ERP (NetSuite preferred)
What You’ll Actually Do
• Lead Planning: Lead monthly, quarterly, and annual financial planning processes, including budgeting, forecasting, and long-range planning.
• Develop Models: Develop, maintain, and enhance integrated financial models encompassing P&L, balance sheet, and cash flow across multiple entities and projects.
• Present Reports: Prepare and present monthly financial reporting packages to executive leadership, including variance analysis and actionable insights.
• Support Financing: Support debt financing initiatives and partner with the CFO on capital raises, investor reporting, and financing transactions.
• Evaluate Investments: Evaluate project-level economics across infrastructure investments and develop financial analyses to support investment decisions and capital allocation strategies.
The Must-Haves
• Background: Bachelor’s degree in Finance, Accounting, Economics, or a related field; Manager level with progressive experience in FP&A or strategic finance.
• Experience: 8–12 years of progressive experience, demonstrated ability leading budgeting, forecasting, financial reporting, and cash flow management processes, plus hands-on ERP experience.
• Skills: Advanced financial modeling, advanced proficiency in Microsoft Excel and PowerPoint, excellent communication, presentation, and cross-functional leadership skills.
• Bonus: Experience within data centers, cloud infrastructure, GPU computing, AI infrastructure, or technology-enabled infrastructure businesses; exposure to debt financing, capital raising, investor reporting, or project finance; CPA, CMA, or MBA designation.