Senior Project Finance Manager
Job in
El Monte, Los Angeles County, California, 91734, USA
Listed on 2026-09-01
Listing for:
LeoForce
Full Time
position Listed on 2026-09-01
Job specializations:
-
Finance & Banking
Financial Manager, Financial Analyst, Financial Reporting, Corporate Finance
Job Description & How to Apply Below
Senior Project Finance Manager Job Description
Experience: Manager
Salary: $160,000 - $180,000 per year
Key Responsibilities- Financial Planning & Analysis
- Lead the annual budgeting and financial planning process in partnership with executive leadership and operational teams.
- Develop and maintain monthly, quarterly, and annual financial forecasts.
- Analyze actual financial performance against budget and forecast and identify significant trends, risks, and opportunities.
- Prepare financial models and scenario analyses to support strategic decision-making, growth initiatives, and operational planning.
- Develop and monitor key performance indicators (KPIs) to measure company and project performance.
- Construction & Project Financial Management
- Partner with Project Managers and Operations leadership to monitor project financial performance, profitability, costs, and projected outcomes.
- Review project budgets, cost-to-complete reports, and financial forecasts.
- Analyze labor, material, subcontractor, and overhead costs and identify potential cost overruns or margin risks.
- Support project teams with financial analysis related to change orders, contract modifications, and overall project profitability.
- Monitor backlog and provide financial visibility into future revenue and capacity planning.
- Support and analyze revenue recognition, including percentage-of-completion and other project-based accounting methods as applicable.
- Financial Reporting & Business Analysis
- Prepare and present timely financial reports and management dashboards for executive leadership.
- Perform detailed analysis of income statements, balance sheets, cash flow, and project financial performance.
- Provide meaningful variance analysis and recommendations to improve profitability and operational efficiency.
- Assist with the development of financial reporting processes, dashboards, and analytical tools.
- Cash Flow & Treasury Management
- Support company-wide cash flow forecasting and working capital management.
- Monitor cash requirements and coordinate with leadership regarding funding needs and financial priorities.
- Analyze accounts receivable, collections, retainage, accounts payable, and project cash flow to improve liquidity.
- Assist with banking relationships, credit facilities, and other treasury-related activities as needed.
Leading Construction company
Why join us?- 401(k) Match
- Health insurance
- Vision insurance
- Dental insurance
- Bonus opportunities
Position Requirements
10+ Years
work experience
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