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CHA Consulting, Inc.

Manager, FP&A – Strategic Finance

CHA Consulting, Inc.

Manager, FP&A and Strategic Finance managing cash flow planning and financial modeling at CHA Consulting. This finance leadership role drives growth, forecasting, and executive decision-making.

Posted 7/7/2026full-timeRemote • 🇺🇸 United StatesSeniorLead💰 $130,000 - $150,000 per yearWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates advanced expertise in financial modeling, cash flow forecasting, and scenario analysis, while effectively communicating financial insights to senior leadership. Proven ability to manage multiple priorities in a collaborative environment, supporting strategic business planning and liquidity management.

Highest-signal resume keywords
Three-Statement Financial ModelingCash Flow ForecastingFinancial PlanningMicrosoft Excel ProficiencyFP&A Experience

ATS Keywords

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Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills
Financial ModelingCash Flow ForecastingScenario AnalysisBudgetingLiquidity ManagementM&A Financial ModelingDue DiligenceBalance Sheet AnalysisDecision SupportAnalytical Skills
Soft Skills
Problem-SolvingCommunicationExecutive PresenceCollaborationDecision-Making
Tools & Technologies
Financial Planning ToolsDashboardsReporting Software
Certifications & Qualifications
CPACFA
Industry Keywords
Corporate FinanceTreasuryCash ManagementBudgetingFinancial Performance

About the role

Key responsibilities & impact
  • 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

Requirements

What you’ll need
  • 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
  • Executive presence with the ability to communicate financial insights effectively to senior leaders and key stakeholders
  • Strong proficiency in Microsoft Excel and financial planning tools
  • CPA, CFA, or other relevant certification preferred
  • Ability to manage multiple priorities in a fast-paced, highly collaborative environment

Benefits

Comp & perks
  • Serve as a trusted advisor to senior leadership on financial strategy, liquidity planning, and capital allocation decisions
  • Lead high-impact initiatives that influence business growth, operational performance, and long-term financial success
  • Expand your leadership capabilities while partnering with experienced finance and executive teams