Director of Financial Planning and Analysis
Job in
Cleveland, Cuyahoga County, Ohio, 44101, USA
Listed on 2026-06-12
Listing for:
Finatal
Full Time
position Listed on 2026-06-12
Job specializations:
-
Finance & Banking
Corporate Finance, Financial Manager, Financial Analyst, Financial Consultant -
Business
Financial Manager, Financial Analyst
Job Description & How to Apply Below
Compensation: ~$180k-$225k base, 20-30% bonus, + LTIP
Finatal is partnered with a leading private equity backed vertically integrated B2B and B2C direct-to-consumer ecommerce company that manufactures and distributes a portfolio of consumer goods. They are looking for a Director of Financial Planning & Analysis to join its finance team in Cleveland, OH. This is a hands‑on, high‑impact role for a finance professional who thrives in the details and understands how supply chain dynamics, inventory management, and short‑cycle forecasting connect to financial outcomes.
The Director of FP&A will be a key partner to the CFO, owning core planning processes that are essential to how the business runs.
Short-Term Cash & Liquidity Forecasting
- Own and manage the 13‑week cash flow forecast, including weekly updates, variance analysis, and communication of liquidity outlook to finance leadership and Sponsors
- Maintain rolling forecast accuracy and continuously refine assumptions based on operational inputs
- Play a key role in the annual budget process, building bottoms‑up models in partnership with department heads
- Maintain rolling forecasts and monthly reforecasts, clearly communicating drivers of change versus prior periods and plan
- Develop and maintain variance analyses (actuals vs. budget vs. forecast) with clear, concise commentary
- Prepare and distribute regular financial reporting packages for internal stakeholders
- Build and maintain dashboards and KPI trackers that give the business real‑time visibility into key metrics
- Identify trends, risks, and opportunities through financial analysis and present recommendations to leadership
Experience:
- 7‑10 years of experience in FP&A, corporate finance, or a related financial planning function
- Direct experience managing 13‑week cash flow forecasts strongly preferred
- Background in demand planning, inventory analysis, or supply chain finance is a meaningful differentiator
- Experience in a consumer products, CPG, retail, or multi‑brand environment preferred
- Strong financial modeling skills with high proficiency in Excel; experience with planning tools (e.g., Net Suite, Adaptive, or similar) a plus
- Demonstrated business acumen and commercial curiosity, with proven ability to quickly recalibrate modeling assumptions and scenario analyses in a fast‑paced, dynamic environment — translating ambiguity into actionable financial insight
- Detail‑oriented with the ability to manage multiple work streams simultaneously
- Collaborative working style — comfortable engaging cross‑functionally with non‑finance partners
- Clear communicator who can translate financial data into business‑relevant insights
- Self‑starter who can operate with limited oversight in a dynamic, entrepreneurial environments
- Bachelor's degree in Finance, Accounting, Economics, or related field required
- MBA or CPA a plus
- This role is based on‑site in Cleveland, OH
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