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Job Description
Manager of Corporate Finance | Partnership Employment
The Tone:
This is a hybrid role for a Manager of Corporate Finance, located in the Dallas area. The company is a well-established, national services organization seeking to enhance its corporate finance team. This position is a high-visibility opportunity, crucial for driving enterprise-wide financial planning, long-range modeling, and strategic analysis. The role supports both the company’s internal operations and the financial objectives of its parent organization.
The TL;DR
• Role: Early Career
• Type: Hybrid
• Location: Hybrid, Dallas, TX
• Pay: $130000 yearly
• Team: Part of the corporate finance team, collaborating with a 5-6 person FP&A team, business unit leaders, and corporate stakeholders.
• Mission: This role is responsible for driving enterprise-wide financial planning, long-range strategic modeling, and critical analysis for the company and its parent organization.
• Tech Stack: Excel
What You’ll Actually Do
• Long-Range Planning: Lead and execute comprehensive long-range financial planning processes, including developing 5-10 year horizon forecasting models.
• Financial Modeling: Build and maintain robust financial models that support various business cases, operational initiatives, and corporate promotions.
• Valuation Analysis: Perform detailed valuation analysis, specifically utilizing DCF modeling and contributing to M&A-related financial work.
• Budgeting Support: Support the annual budgeting and rolling forecast processes through close partnership with the broader FP&A team.
• Strategic Analysis: Prepare and deliver ad hoc financial analysis and strategic deliverables tailored for review by senior leadership and the parent company.
The Must-Haves
• Background: Possess a Bachelor’s degree in Finance, Accounting, or a closely related field, demonstrating progressive experience in corporate finance, investment banking, consulting, or public accounting.
• Experience: Bring 5 or more years of progressive professional experience, with significant and hands-on exposure to financial modeling. Must have practiced and demonstrated expertise in DCF and other valuation methods.
• Skills: Exhibit advanced proficiency in Excel, including the ability to build and maintain complex models and worksheets. Demonstrate strong business acumen and the capability to effectively translate high-level strategy into tangible financial frameworks.
• Bonus: An MBA or CFA designation is considered a significant advantage. Experience in M&A or transaction analysis is strongly preferred.