Manager, FP&A
Listed on 2026-01-27
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Finance & Banking
Financial Manager, Corporate Finance, VP/Director of Finance -
Management
Financial Manager
Overview Manager / Senior Manager, FP&A Company Overview
Sonrava Health is a leading dental services organization (DSO) in the United States, providing multi-specialty dental care to approximately 2.6 million patients annually. The Company operates a national footprint of 500+ offices across 21 states and is organized by geographic region:
West, Central, and East. Sonrava Health is backed by New Mountain Capital (~$55 billion AUM), a premier private equity firm focused on long‑term value creation and business building.
The Manager / Senior Manager of FP&A will play a pivotal role in leading the corporate FP&A function. Reporting directly to the Vice President of Finance, this role will drive financial modeling, forecasting, and strategic decision‑making to support business growth and operational efficiency. As a key strategic partner, this individual will collaborate closely with executive leadership across the organization and engage with Sonrava Health’s private equity sponsor, New Mountain Capital.
ResponsibilitiesStrategic Financial Planning
- Lead the development and execution of the corporate budgeting and forecasting processes.
- Maintain long‑term strategic financial models and cash flow models to support enterprise‑wide decision‑making.
- Partner with leadership to align financial plans with organizational objectives and growth initiatives.
- Serve as a strategic finance partner to department heads, developing a deep understanding of business objectives, challenges, and key initiatives.
- Deliver data‑driven insights and recommendations to improve business performance and decision‑making.
- Provide financial guidance on cost management, investment prioritization, and resource allocation.
- Conduct detailed financial analysis, including variance analysis and KPI tracking.
- Prepare monthly, quarterly, and annual financial reports for management and key stakeholders.
- Manage lender reporting requirements, including financial reporting and covenant compliance analysis.
- Develop and maintain a rolling 13‑week cash flow forecast and summarize key drivers of projected liquidity.
- Ensure timely, accurate delivery of financial information to lenders, investors, and other external stakeholders.
- Develop and enhance forecasting models and methodologies to improve accuracy and reliability.
- Perform monthly variance analysis to identify, explain, and address deviations from forecasts.
- Collaborate with business leaders to ensure timely and accurate data collection for forecasting and analysis.
- Work closely with onshore and offshore FP&A team members, providing mentorship and professional development.
- Build strong relationships with key stakeholders to ensure alignment and understanding of business needs.
- Bachelor’s degree in Finance, Accounting, Business, or a related field required; MBA preferred but not required.
- 4+ years of FP&A experience with strong finance and accounting fundamentals.
- Demonstrated strategic and analytical mindset with the ability to translate financial data into actionable insights.
- Advanced financial modeling skills required.
- Strong attention to detail, work ethic, and organizational skills.
- Excellent communication and interpersonal skills with the ability to collaborate effectively across functions.
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