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We are looking for a Financial Planning & Analysis Manager to join our team in Glen Allen, Virginia. This role will guide enterprise forecasting, build robust financial models, and deliver insights that help leadership evaluate performance, capital allocation, and future business scenarios. The ideal candidate brings strong analytical judgment, a deep understanding of financial planning disciplines, and the ability to translate complex data into clear recommendations for senior stakeholders.
Job Responsibility
Direct the preparation and ongoing enhancement of forward-looking financial models covering earnings expectations, balance sheet activity, capital usage, and alternative business scenarios
Create and update forecasting tools that evaluate revenue, operating costs, financing expenses, taxable earnings adjustments, and performance across changing market conditions
Produce monthly, quarterly, and annual outlooks that inform executive planning, board materials, and decisions related to distributions and overall financial strategy
Analyze forecast-to-actual results, identify the main factors influencing performance, and communicate findings to leadership with actionable recommendations
Develop detailed taxable income projections and regulatory-related forecasts to support compliance monitoring and dividend capacity assessments
Partner with accounting and senior leadership to align forecast assumptions with business strategy and ensure reporting accuracy
Build sensitivity and scenario analyses that measure the effects of interest rates, funding costs, asset returns, leverage, liquidity, and book value changes
Assess strategic options and potential portfolio adjustments through stress testing and forward-looking financial evaluation
Conduct peer and competitor benchmarking focused on earnings trends, dividend practices, leverage, portfolio mix, funding approaches, and capital structure, then summarize insights for management and the board
Requirements
Proven experience in financial planning and analysis, including ownership of complex forecasting and long-range planning processes
Strong financial modeling skills with the ability to build scenario, sensitivity, and performance analysis tools
Demonstrated expertise in financial analysis, including variance review and interpretation of key business drivers
Experience supporting executive leadership with planning materials, financial projections, and decision-oriented reporting
Knowledge of taxable income forecasting and regulatory-focused financial planning in a corporate environment
Proficiency with FP&A systems and analytical tools, including experience with Adaptive Insights or similar platforms
Advanced communication skills with the ability to present complex financial concepts clearly to senior stakeholders