FP&A Manager
Clair · New York, United States · 4 days ago
On-siteFinance$165k–$185k/yrFull-time
About the role
As a Corporate Finance Manager at Clair, you will support core financial planning, forecasting, and reporting for the company, partnering closely with Finance leadership and cross-functional teams. This role sits at the intersection of financial reporting, board-quality data production, and analytical support, helping translate financial data into clear, accurate outputs for internal stakeholders, leadership, and external audiences, including investors and board members. This is a highly analytical role with exposure to senior leadership, board materials, and investor-facing work.
Responsibilities
- Partner with Finance leadership on forecasting, budgeting, long-range planning, and business performance analysis.
- Build and maintain financial models across revenue, unit economics, profitability, headcount, and cash flow to support strategic decision-making.
- Evaluate new products, partnerships, and growth opportunities through financial analysis, business cases, and scenario modeling.
- Create board, investor, and leadership reporting, translating complex data into clear insights and recommendations.
- Deliver monthly business reporting and performance reviews for leaders across Product, GTM, Partnerships, and Controllership.
- Partner cross-functionally to understand performance drivers, identify opportunities, and improve business outcomes.
- Build scalable reporting infrastructure using Pigment, Snowflake, SQL, AI tools, and automation to improve speed, accuracy, and efficiency.
- Champion AI and automation initiatives that help Finance scale through systems and technology.
- Support fundraising, investor relations, and other strategic finance initiatives as Clair continues to grow.
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, or related field.
- 3–5 years of experience in corporate finance, FP&A, investment banking, or financial reporting.
- Strong financial modeling, forecasting, and data visualization skills.
- Builder mentality: direct experience building process automations with AI and planning tools.
- You love to automate and know your way around data structures, not just spreadsheets.
- Experience building board-quality charts and presentations; high attention to detail on data accuracy.
- Advanced Excel and PowerPoint skills.
- Comfortable working across accounting outputs, FP&A model outputs, and executive audiences simultaneously.
- Experience supporting month-end close reporting and management reporting packages.
- Strong communication, organization, and cross-functional collaboration skills.
Qualifications
- Margin Accretive Fintech, payments, or high-growth startup experience — especially earned wage access, lending, or embedded finance.
- Familiarity with Pigment, Snowflake, Sigma, Looker, or SQL.
- Experience modeling credit risk, cohort economics, or loan-level unit economics.
- Ability to build and maintain your own dashboards and reporting infrastructure independently.
Benefits
- Medical, Dental, & Vision Coverage, with option to extend to your family.
- Fully-paid parental leave.
- Company-sponsored 401k, HSA, and FSA.
- Unlimited vacation for salaried roles, generous PTO for hourly roles.
- Work from home setup allowance.
- Access to your earnings every day on Clair.
- Company-sponsored short-term and long-term disability insurance.