Manager, Corporate FP&A
AssetWatch serves global manufacturers by powering manufacturing uptime through an unparalleled condition monitoring experience, with a passion to care for the assets our customers value every day. We are a devoted team of world-renowned engineers and distinguished business leaders united by a common goal: to build the future of predictive maintenance. As we enter a phase of rapid growth, we are seeking individuals to help lead this journey.
About the Role
As Manager of Corporate FP&A, you will play a critical role in shaping AssetWatch's financial strategy. Reporting to the Director of FP&A, you will own the company's integrated three-statement model and consolidated forecast, cash flow and runway planning, and the monthly, quarterly, board, and investor reporting. You will partner with Operational FP&A to bring business inputs into the consolidation, and with Ops and Supply Chain on inventory, deployment, and hardware assumptions. We seek a proactive, analytical thinker who thrives in a fast-moving, entrepreneurial environment and is eager to drive scalable growth.
Responsibilities
Corporate FP&A
- Own the integrated three-statement model, including P&L, balance sheet, and cash flow.
- Consolidate forecasts across revenue, expenses, working capital, inventory, capex, and depreciation.
- Maintain the master financial model, planning templates, version control, and model governance.
- Prepare monthly and quarterly reporting, variance analysis, and forecast bridges.
- Own cash flow and runway forecasting, including hardware purchase timing.
- Drive process discipline across AOP and quarterly reforecast cycles, including calendar management, submission standards, and executive-ready outputs.
- Partner with Ops and Supply Chain on inventory, deployment, and hardware assumptions.
- Partner with Operational FP&A to ensure business inputs flow accurately into the consolidated forecast.
- Support board and investor financial materials.
- Provide financing support, including modeling the financial impact of alternative debt structures.
Analysis & Reporting
- Own the monthly reporting package, including consolidated results, KPI summaries, and management commentary.
- Analyze consolidated results across revenue, expense, working capital, inventory, and capex to identify risks, opportunities, and forecast implications.
- Partner with business leaders and Accounting to validate forecast assumptions and explain the drivers behind variances.
- Support monthly close and reporting cycles by reconciling actuals, accruals, and balance sheet activity with Accounting.
- Build and maintain recurring reports, dashboards, and templates that improve forecast visibility, accuracy, and model governance.
- Track key financial KPIs related to cash, runway, margin, working capital, and SaaS performance.
- Conduct ad hoc financial analysis to support business decisions, capital allocation, financing scenarios, and special projects.
- Prepare board and investor reporting materials, including financial packages and supporting analysis.
- Improve reporting processes through better data validation, automation, and scalable planning tools.
- Prepare clear, executive-ready summaries for management reviews, board discussions, and planning cycles.
Requirements
- Bachelor's degree in Finance, Accounting, Economics, Mathematics, or a related field (MBA or master's degree is a plus).
- 4+ years of FP&A, strategic finance, corporate finance, or business finance experience, preferably in SaaS, technology, or a high-growth environment.
- Hands-on experience building and maintaining integrated three-statement models, consolidated forecasts, and cash flow/runway analyses.
- Strong proficiency in Microsoft Excel, including advanced functions, pivot tables, and data visualization techniques.
- Experience preparing board- and investor-ready financial materials, with strong model governance and version-control discipline.
- Experience with NetSuite or similar accounting systems.
- Deep understanding of financial statements, accounting principles, consolidation, working capital and inventory dynamics, and SaaS metrics.
- Ability to translate complex financial data into meaningful insights, actionable strategies, and executive-ready commentary.
- Strong communication and presentation skills, with the ability to engage both technical and non-technical stakeholders.
- High attention to detail, strong problem-solving skills, and ability to manage multiple projects.
- Experience with data visualization tools (Tableau, Power BI, or similar) is a plus.
Skills
- Resilient & Fearless: You embrace challenges head-on, move with urgency, and celebrate wins while supporting those around you.
- Strategic & Analytical: You have a data-driven mindset and use insights to drive better decisions.
- Collaborative & Transparent: You thrive in a team environment, communicate openly, and value diverse perspectives to drive the best outcomes.
Benefits
- Competitive compensation package including stock options.
- Flexible work schedule.
- Full benefits and 401K with company match.
- Unlimited PTO.
- Opportunity to make a real impact every day.
- Work with a dynamic and growing remote-first team.
Pay
The base salary range for this full-time position is $125,000—$155,000 USD, plus equity and benefits. Individual pay is determined by work location and additional factors, including job-related skills, experience, and relevant education or training.
Schedule
AssetWatch is a remote-first company with a distributed team across the United States and Ontario, Canada. Collaboration within core working hours is required.