Senior Manager - Financial Planning & Analysis
Company
rePurpose Global
Location
Other US Location
Type
Full Time
Job Description
rePurpose Global is the world’s leading Plastic Action Platform, bringing together brands, consumers, innovators, and policymakers to collectively combat the plastic waste crisis and support impactful environmental and social action.
We are a series-funded social enterprise and are backed by some of the world’s best investors. We have enabled over 350+ leading brands to measure, reduce, and take action on their plastic footprints, while driving systems change on a global scale. Our efforts have led to the recovery of over 25 million kilograms of plastic waste from the environment to date, protecting vulnerable coastal regions across the world. In doing so, the organization has enabled the delivery of waste management services to millions of people for the first time, while positively impacting the lives of thousands of marginalized waste workers across the world.
We’re just getting started on our mission - the fight against plastic pollution is going to take everything we’ve got, and more. We are looking for entrepreneurial and passionate team members who thrive in a collaborative and purpose-driven environment. We invite you to join our 60+ member global team that is striving hard everyday to create a truly consequential company.
Role Overview
As a rapidly growing, Series A funded and VC-backed social enterprise, we are seeking a Senior Manager - Financial Planning & Analysis to join our team. This role will play a pivotal part in rePurpose Global’s next phase of growth, gaining exposure to multiple facets of our company and becoming a strategic business partner. You will employ your strong analytical skills to leverage data and construct robust financial models that can scale. By effectively communicating key insights, you will contribute to informed decision-making processes and actively participate in optimizing our financial & compliance operations during this high-growth phase.
Responsibilites
- Financial Reporting: Own and manage the financial reporting process, ensuring accurate and timely delivery of financial reports to Founders, Investors, and management. Prepare comprehensive financial reports with key insights, including budgets vs actuals comparisons and identification of areas for improvement. Identify relevant metrics, establish reporting cadence, and ensure alignment with organizational goals.
- Budgeting and Forecasting: You will lead the company’s annual budgeting process, working closely with each of the team leads and cofounders to drive efficient spend management while building robust controls and KPI tracking mechanisms. Your skills will also be counted upon to forecast the performance of the company for the foreseeable future.
- Data Analysis and Financial Modeling: Utilize strong analytical skills to analyze financial data and construct robust financial models. Extract insights from data analysis and effectively communicate key findings to contribute to informed decision-making processes.
- Collaborative Partnership: Establish rapport and build strong relationships with individuals across the organization, understanding their functions and requirements for effective reporting. Collaborate closely with the Director of Finance & Operations to align objectives and optimize operational efficiency.
- Reporting Analysis and Improvement: Conduct a thorough analysis of the organization's reporting strengths and weaknesses. Prepare a SWOT analysis and provide recommendations for improving reporting processes, data accuracy, and efficiency.
- Process Standardization, Optimization and Automation: Drive efforts to standardize, streamline, and automate financial and operational processes. Identify areas for process improvement and implement strategies to optimize operational efficiency and resource utilization with a clear focus of automating these processes to be tamper proof, and scalable.
- Treasury Management: A big and important element in a VC backed company is effective cash and liquidity management. This position is expected to ensure capital is being effectively utilized while being on the lookout constantly for ways to enhance out capital position.
We have most of our team members in New York - US, London - UK, Bangalore, Delhi and Mumbai - India, however, for this position we are prioritizing applicants based out of Bangalore, India (Flexibility to work with overlaps across time zones is required).
Date Posted
05/03/2024
Views
2
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