Ovii Job Board

Corporate Finance Manager

Pavago

United States • Remote - United States • Full-Time • 5+ years

Posted 2026-05-28 Corporate & Support

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Job Description

Ovii's Interpretation of the Role

The Corporate Finance Manager will lead FP&A, budgeting, forecasting, and strategic financial analysis while partnering directly with executive leadership and key business units. The role delivers actionable insights, supports M&A and investor relations, and mentors junior finance staff in a fast‑growth, remote environment.

Role Snapshot

  • Lead financial planning & forecasting
  • Build advanced financial models
  • Drive executive reporting & dashboards
  • Partner with operations, sales, and product
  • Support M&A, fundraising, and investor relations
  • Mentor junior finance analysts

Must-Have Requirements

  • Advanced Excel & financial modeling
  • Financial planning & forecasting
  • ERP systems (NetSuite, SAP, Oracle)
  • Executive communication & presentation
  • Corporate Finance
  • FP&A
  • Investment Banking
  • Strategic Finance
  • Bachelor’s degree in Finance, Accounting, Economics or related field

Nice-to-Have Signals

  • CPA, CFA, or MBA credentials
  • M&A and investor relations experience
  • Business intelligence tools (Power BI, Tableau, Looker)
  • SaaS/technology or professional services experience
  • High‑growth environment experience
  • M&A transactions
  • Fundraising
  • Investor relations
  • SaaS/technology professional services
  • High-growth environments
  • CPA
  • CFA
  • MBA

Work Setup

  • Location: United States
  • Work mode: REMOTE
  • Remote scope: COUNTRY_RESTRICTED
  • Remote countries: United States
  • Employment type: Full-Time

Eligibility Gates

  • Visa sponsorship: no

Application Requirements

  • Assessment mentioned

Not Specified in JD

  • Salary range
  • Visa sponsorship
  • Relocation
  • Security clearance
  • Travel
  • Cover letter
  • Coding test

What You'll Likely Work On

  • Own the end‑to‑end FP&A process, including annual budgeting and quarterly forecasts
  • Develop and maintain complex valuation and scenario models for strategic decisions
  • Prepare board‑level presentations, KPI dashboards, and monthly financial summaries for executives
  • Monitor cash flow, liquidity, and working‑capital metrics; support treasury and banking relationships
  • Provide financial analysis for pricing, expansion, headcount, and investment initiatives
  • Collaborate with operations, sales, and product teams to align financial goals with execution
  • Assist leadership on M&A due diligence, capital raising, and investor reporting
  • Mentor and improve processes for junior finance analysts

Good Fit If You Have

  • Enjoys strategic finance and hands‑on financial modeling
  • Thrives in fast‑paced, high‑growth environments
  • Communicates complex financial insights clearly to senior leaders

Skills

  • Advanced Excel & financial modeling (DCF, IRR, NPV, scenario)
  • Financial planning & forecasting (budgeting, rolling forecasts)
  • ERP systems (NetSuite, SAP, Oracle)
  • Executive communication & presentation
  • Business intelligence tools (Power BI, Tableau, Looker)
  • CPA / CFA / MBA credentials
  • M&A and investor relations experience
  • High‑growth environment experience

Remote Eligibility

  • United States