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AVP Financial Planning & Analysis Manager

Job in Santa Cruz, Santa Cruz County, California, 95061, USA
Listing for: West Coast Community Bank
Full Time position
Listed on 2026-09-16
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Reporting, Corporate Finance, Financial Manager
Salary/Wage Range or Industry Benchmark: 120000 - 180000 USD Yearly USD 120000.00 180000.00 YEAR
Job Description & How to Apply Below

West Coast Community Bank is a top-rated community bank with a focus on serving the banking needs of businesses and individuals along the Central Coast, in Silicon Valley and throughout the Bay Area.

Delivery of relationship-based service with a solutions-driven focus sets us apart from the competition. We offer direct access to decision-makers combined with modern banking technologies and digital tools. The Bank is a leading SBA lender in Santa Cruz County and Silicon Valley and a top USDA lender in the state of California.

Since opening in 2004, we have proudly upheld our commitment to support regional well-being by actively participating in and donating to local nonprofit organizations. We engage in impactful volunteerism and support the greater economic vitality within our four-county reach, contributing more than 2,000 hours of volunteering annually.

Position Overview

The Financial Planning & Analysis Manager serves as a strategic finance partner responsible for the Company's budgeting, forecasting, financial planning, Board reporting, and management reporting processes. This position provides analytical support for executive decision-making across earnings performance, capital planning, treasury activities, investment portfolio management, interest rate risk, and strategic growth initiatives. The role supports external financial reporting, quarterly earnings releases, and CECL-related analytics while partnering with management to deliver meaningful financial insights.

Success in this position requires strong financial acumen, advanced analytical and modeling capabilities, and the ability to communicate complex financial information to senior management.

This is an on-site position that may be based at any of our locations and requires a minimum of four (4) days per week in the office.

  • Collaborate with the Director of FP&A to lead the Company's annual budgeting process, quarterly forecasting cycle, and long-range financial planning activities.
  • Assist with monthly variance analysis and provide insights into key drivers impacting financial performance.
  • Develop and maintain financial models supporting balance sheet growth, earnings performance, capital management, liquidity planning, and strategic decision-making.
  • Provide financial analysis and reporting to support executive management's strategic and operational decision-making processes.
  • Lead and support special projects as assigned.
Board & Management Reporting
  • Prepare monthly financial reporting packages for the Board of Directors.
  • Develop reporting and analytical materials for executive management.
  • Communicate financial results, trends, and key performance indicators in a clear and concise manner.
Treasury, Investments & Risk Analytics
  • Support Treasury management activities, including liquidity monitoring, investment portfolio analytics, and capital planning initiatives.
  • Perform investment portfolio pre-purchase analyses for investment securities.
  • Perform initial and periodic credit reviews of the investment portfolio, including municipal and corporate bonds, and document findings.
  • Oversee the pledged loan data transfer supporting borrowing lines with correspondent banks, including the Federal Home Loan Bank (FHLB) and Federal Reserve Bank (FRB).
  • Assist in the preparation, validation, and reporting of interest rate risk modeling.
  • Support analysis related to balance sheet management, interest rate risk, capital adequacy, and liquidity planning initiatives.
Financial & Regulatory Reporting
  • Support quarterly and annual financial reporting activities, including preparation of selected footnotes, supporting schedules, and disclosures included in Forms 10-Q and 10-K.
  • Assist with the preparation of quarterly earnings releases, investor presentation materials, earnings call support schedules, and related financial analyses.
  • Prepare supporting analyses and documentation to ensure accuracy and completeness of financial reporting.
  • Support regulatory, external audit, and internal audit requests as needed.
CECL & Credit Analytics Support
  • Support the SVP, Credit Analytics Manager in the preparation, validation, reconciliation, and documentation of the Bank's Allowance for Credit Losses on Loans under the Current Expected Credit Losses (CECL) accounting standard.
  • Assist with maintaining supporting schedules, assumptions, and documentation related to CECL reporting and analysis.
  • Participate in reconciliation and validation activities to support accurate financial and regulatory reporting.
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