What are the responsibilities and job description for the Financial Planning and Analysis Manager position at Applied Resource Group?
FP&A Manager
Location: Atlanta, GA (Hybrid)
Overview
A growing global organization is seeking an experienced FP&A Manager to support financial planning, treasury operations, reporting, and enterprise-wide financial consolidation activities. This role partners closely with executive leadership and cross-functional teams to enhance financial visibility, optimize cash management processes, and support strategic decision-making across domestic and international operations.
The ideal candidate brings a strong mix of treasury, forecasting, reporting, and analytical experience, along with the ability to operate effectively in a fast-paced and evolving environment.
Key Responsibilities
- Manage daily cash positioning activities and support short- and long-term liquidity forecasting.
- Assist in developing strategies to improve cash utilization and overall financial efficiency.
- Evaluate and help mitigate financial risks including foreign exchange exposure and interest rate fluctuations.
- Support debt management activities, banking relationships, and capital planning initiatives.
- Coordinate banking services, account administration, and related treasury operations.
- Develop and maintain treasury-related policies, procedures, and internal controls.
- Prepare recurring and ad hoc reporting related to cash flow, liquidity, forecasting, and financial performance.
- Contribute to strategic planning initiatives by providing financial analysis and recommendations to leadership.
- Support audit requests and compliance-related activities.
- Identify opportunities for process improvement and automation within treasury and FP&A functions.
- Assist with consolidation of financial results across multiple business entities and international operations.
- Partner with accounting, finance, and operational stakeholders to improve financial reporting accuracy and efficiency.
- Build and maintain financial models, dashboards, and analytical tools to support planning and decision-making.
- Participate in additional finance and operational initiatives as needed.
Qualifications
- Bachelor’s degree in Finance, Accounting, Economics, or related field; MBA or advanced degree preferred.
- 7 years of progressive experience in FP&A, treasury, corporate finance, or accounting.
- Strong understanding of cash management, financial analysis, forecasting, and treasury operations.
- Experience working with multi-entity and/or international financial environments preferred.
- Demonstrated ability to analyze complex financial data and communicate insights effectively.
- Advanced Excel and financial modeling skills required.
- Experience with ERP and financial reporting systems preferred.
- Strong communication and stakeholder management skills.
- Ability to prioritize effectively and operate under tight deadlines.
- Proven problem-solving and analytical capabilities.
Additional Information
- Hybrid work environment based in the Atlanta market.
- Competitive compensation and benefits package offered.
- Candidates must be authorized to work in the United States without sponsorship.