Senior Manager, FP&A
Listed on 2026-02-24
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Finance & Banking
Corporate Finance, Financial Manager
litMUS Music, founded in 2022, is a music rights acquisition and management company focused on acquiring both music publishing and recorded music assets, across multiple genres, geographies and vintages.
litMUS is seeking a highly analytical and detail-oriented Senior Manager, FP&A to lead corporate financial planning, forecasting, and performance reporting across our platform. This role will focus on enterprise-level financial modeling, liquidity management, capital structure oversight, and executive reporting. The ideal candidate has deep experience in corporate financial modeling, understands asset-backed financing mechanics, and is comfortable operating in a private equity-backed or institutional capital environment.
Key Responsibilities:- Lead annual budgeting, quarterly forecasting, and long-range financial planning
- Develop and maintain integrated three-statement corporate financial models
- Drive variance analysis and portfolio performance reporting
- Produce board-ready reporting packages and performance dashboards
- Build and maintain KPI tracking across royalty income streams
- Partner with senior leadership to translate financial results into strategic insights
- Support management and monitoring of asset-backed credit facilities
- Model borrowing base calculations, liquidity forecasts, and covenant compliance
- Track debt service coverage, leverage ratios, and cash flow waterfalls
- Partner with external lenders and advisors on reporting requirements
- Evaluate cost of capital and support capital allocation decisions
- Analyze cash flow generation and liquidity across the platform
- Support refinancing initiatives and capital markets transactions
- Assist with corporate scenario planning and stress testing
- Improve financial processes, controls, and reporting infrastructure
- Partner cross-functionally with royalties, legal, and operations teams to ensure financial accuracy and transparency
- 5-7+ years of experience in FP&A, corporate finance, structured finance, private equity, or investment banking
- Advanced financial modeling expertise (three-statement models, debt schedules, covenant modeling, cash flow forecasting)
- Experience with asset-backed lending, securitizations, structured credit, or fund-level leverage preferred
- Strong understanding of GAAP and financial statement mechanics
- Highly proficient in Microsoft Excel, PowerPoint, and Word;
Tableau a plus - Experience operating in a PE-backed or institutional capital environment preferred
- Strong communication skills with the ability to present financial insights clearly to executives and boards
- Self-starter able to thrive in a small, collaborative, fast-paced accountable environment
- Interest in music, media, intellectual property, or alternative assets is a plus
- Based in the New York metropolitan area
- Must be authorized to work in the United States
- Exposure to a growing alternative asset platform
- Direct interaction with executive leadership and capital providers
- Competitive compensation and performance-based bonus
- A dynamic, entrepreneurial environment at the intersection of entertainment and finance
Work Location: New York City (On-Site)
The actual base salary offered will vary based on several factors, including the candidate’s qualifications, relevant experience, skills, education, and certifications or professional licenses.
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