This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
We are looking for a Finance Manager to join a growing organization in Fort Lauderdale, Florida and provide high-level financial insight that supports strategic planning and executive decision-making. This role is well suited for someone who is detail oriented and excels at interpreting complex financial information, developing robust models, and turning analysis into practical recommendations. The position will work closely with senior leadership and cross-functional finance partners to strengthen reporting, guide capital decisions, and improve visibility into overall business performance.
Job Responsibility
Develop and refine detailed financial models used to assess investments, support capital allocation decisions, and inform long-range business strategy
Review operating and portfolio results by examining cash flow, profitability, valuation movement, and key return indicators to highlight performance trends
Assess potential transactions, funding options, and capital structure alternatives to help leadership evaluate financial opportunities and risks
Create clear financial reports, dashboards, and presentation materials that summarize findings clearly for executive audiences
Collaborate with accounting and finance colleagues to support accurate reporting, reconcile financial results, and contribute to month-end close activities
Provide analytical support for areas such as revenue treatment, cost review, depreciation, impairment considerations, and transaction-related accounting matters
Track financial performance, liquidity patterns, and areas of exposure, offering insights that help the business respond proactively to changing conditions
Lead and support budgeting, forecasting, variance review, and longer-term planning efforts to improve decision-making and resource allocation
Work alongside treasury, tax, and accounting teams to align funding strategies, evaluate financial implications, and enhance overall business visibility
Recommend improvements to reporting workflows, internal controls, and analytical processes to increase accuracy, efficiency, and transparency
Requirements
Bachelor’s degree in Finance, Accounting, Economics, or a related discipline
At least 7 years of experience in finance, FP&A, investment analysis, corporate finance, structured finance, or another analytical finance function
Advanced proficiency in Excel with demonstrated ability to build and interpret sophisticated financial models
Strong knowledge of financial statements, accounting workflows, cash flow analysis, and performance measurement concepts
Ability to evaluate complex business scenarios, transactions, or capital planning decisions using sound financial judgment
Clear communication skills with the ability to present financial insights and recommendations to senior leaders and stakeholders
High attention to detail, strong problem-solving ability, and comfort operating in a fast-paced environment
Must be eligible to work in the U.S. for consideration