We’re looking for a Senior Manager, Corporate Finance to lead capital and liquidity management, elevate long-term strategic planning, and serve as a trusted partner to our lending institutions. This high-impact role partners daily with accounting, treasury, analytics, and merchandising—helping guide financial decisions that shape the future of the business.
What You’ll Do:
• Build and manage advanced financial models (3-statement, multi-year, weekly cash flow)
• Oversee liquidity planning in partnership with Treasury
• Own all lending partner deliverables, including borrowing base submissions and compliance reporting
• Collaborate cross-functionally to produce accurate, timely reporting and analysis
• Present financial and operational insights to both internal and external stakeholders
• Apply rigorous quantitative and qualitative analysis to drive recommendations and decision-making
Requirements:
• Deep expertise in capital structure and liquidity management
• Advanced modeling + strong Excel/PowerPoint skills
• Strong understanding of credit facilities and debt instruments
• Exceptional communication, accuracy, and attention to detail
• Ability to collaborate across teams and manage external relationships
• Bachelor’s in Finance/Accounting + 7 years of relevant experience (2+ years leadership preferred)
Bonus Points:
• • PE-backed environment exposure
• MBA
• Experience with Anaplan, Power BI, SQL
If you’re ready to take on a visible, strategic role with room to grow— we’d love to connect.
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