Cash Flow F&S Partner
SF, SEA, NYC, CHI, Remote-US
Who we are Â
About Stripe
Stripe is a financial infrastructure platform for businesses. Millions of companiesâfrom the worldâs largest enterprises to the most ambitious startupsâuse Stripe to accept payments, grow their revenue, and accelerate new business opportunities. Our mission is to increase the GDP of the internet, and we have a staggering amount of work ahead. That means you have an unprecedented opportunity to put the global economy within everyoneâs reach while doing the most important work of your career.
About the team
The Corporate Finance & Strategy team plays a key role in steering Stripe's financial decision-making and corporate planning. You will provide key financial insight and strategic recommendations to the Stripe leadership and Board, and design and implement company-wide processes to drive toward our desired business and financial outcomes.
What youâll do
We're seeking an exceptional candidate to join our team and drive our Cash Flow forecasting and reporting processes, collaborating closely with our Accounting and Finance teams. We're seeking someone who can bring valuable insights and expertise to the table, and who is passionate about driving business performance through effective financial planning and analysis.
Responsibilities
- Play a key role in supporting our consolidated strategic and financial planning processes through Free Cash Flow analysis and reporting.
- Develop and evolve scalable processes and work cross-functionally across the broader Finance organization to effectively forecast and analyze Free Cash Flow performance, and to improve forecast accuracy by deepening our knowledge of cash flows.
- Develop and monitor critical financial performance metrics, and communicate actionable insights to relevant stakeholders.
- Develop Capitalized Labor, Depreciation & Amortization, and Other Income & Expenses forecasts
- Contribute to the design and implementation of planning and automation tools.
- Support Stripe leadership in evaluating strategic initiatives and key decision processes.
- Prepare presentations and key reporting to the Board of Directors, Investor Relations, and Leadership Team.
Who you are
We're looking for someone who meets the minimum requirements to be considered for the role. If you meet these requirements, you are encouraged to apply. The preferred qualifications are a bonus, not a requirement.
Minimum requirements
- 7+ years of relevant experience in corporate planning, business finance, or related fields, particularly with experience in a Corporate FP&A environment.
- Experience forecasting and analyzing cash flow.
- Strong analytical skills, and extensive experience âŚ
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Benefits/PerksCollaborative environment Company bonus Company bonus or sales commissions Company bonus or sales commissions/bonuses Equity Hybrid work Medical, dental, and vision benefits Professional growth Remote-first company Remote work option Vision Benefits Wellness stipends
Tasks- Collaborate with finance teams
- Communicate effectively
- Prepare presentations
- Reporting
Accounting Analytical Automation Business Business Performance Cash Flow Forecasting Collaboration Communication Cross-functional Collaboration Design Excel Finance Financial analysis Financial Infrastructure Financial modeling Financial Planning Financial reporting Forecasting FP&A Implementation Infrastructure Investor Relations Leadership Organization Payments Performance Metrics Reporting Sales Strategic planning Strategy Treasury US GAAP Written communication
Experience7 years
EducationBusiness CPA Finance Related fields
Certifications TimezonesAmerica/Anchorage America/Chicago America/Denver America/Los_Angeles America/New_York Pacific/Honolulu UTC-10 UTC-5 UTC-6 UTC-7 UTC-8 UTC-9